Bridge33 Capital is a fast-growing and vertically integrated private equity firm focused on open-air strip retail.
We are seeking a Finance Manager, FP&A, to focus on financial planning, management reporting, and someone who develops ad hoc scenario/sensitivity analysis to support financially informed decision making.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
Partner closely with senior leadership and cross-functional teams to guide financial decision-making, strengthen planning processes, and align financial goals with organizational strategy.
Lead the development of annual operating budgets, quarterly forecasts, and long-range financial plans; consolidate business unit inputs and ensure accuracy, alignment, and accountability across the organization.
Oversee monthly financial performance reviews, including variance analysis, KPI trends, and actionable insights to support operational efficiency and strategic initiatives.
Build and enhance scalable financial models to assess business performance, forecast results, and support scenario planning, capital allocation, and strategic investments.
Direct the preparation of management reporting packages, financial dashboards, and analytical commentary for executive stakeholders.
Conduct market, competitive, and industry analyses to evaluate financial risks and opportunities, enabling well-supported strategic recommendations.
Evaluate the financial viability of new projects, investments, and business opportunities; prepare ROI analyses and business cases to support leadership decisions.
Assess and recommend financing strategies--including debt, equity, and alternative structures--to optimize capital efficiency and support long-term growth.
Improve financial processes, reporting accuracy, and data integrity by leveraging automation tools such as Power Query, advanced Excel, and data transformation workflows.
Apply strong critical thinking and analytical judgment to challenge assumptions, validate data, and ensure insights are reliable, objective, and impactful.
Contribute to scaling FP&A capabilities within a high-growth environment.
Complete other tasks and projects assigned by management.
Requirements
Bachelor's degree in finance, Accounting, Economics, or related field
10+ years of progressive experience in financial planning, financial analysis, or corporate finance
Advanced Microsoft Excel skills, including complex formulas, data automation, and model development
Strong understanding of core finance, accounting, and analytical principles
Experience with Power Query, data mapping, and process automation
Proficient in Microsoft Office applications including Word and PowerPoint
Excellent verbal and written communication skills
Highly organized, proactive team player with strong attention to detail
Ability to work both independently and collaboratively in a dynamic, fast-paced environment
Commercial real estate or real estate finance experience is a plus (not required)
WORKING REQUIREMENTS
:
Fully remote
Fluent in English
* Will work 8:00 AM to 5:00 PM US Pacific Time (PST)
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