Backed by Bessemer and 500 Global.
About the role
Co-own the full FP&A cycle: annual budgeting, quarterly reforecasts, monthly close and variance analysis, and rolling forward forecasts across headcount and Opex. Own cash flow forecasting: build and maintain a rolling 12-month cash model using both direct and indirect methods, ensuring the two reconcile and triangulate against each other. Monitor liquidity by building scenario and sensitivity models to surface risks and opportunities to leadership in advance.
What they're looking for
- 7+ years of FP&A experience with Big 4 accounting or investment banking background
- Deep understanding of SaaS business models, ideally with exposure to product-led growth (PLG), you speak fluently about MRR, ARR, GDR, NDR, logo retention, and cohort analysis
- Strong command of GAAP accounting and three-statement modeling, you understand how an operational decision flows through the P&L, balance sheet, and cash flow statement
- Demonstrated ability to leverage AI tools to improve productivity, accelerate analysis, and enhance the accuracy of FP&A deliverables
- Proven track record owning month-end close, variance analysis, and rolling forecasts in a high-growth environment
- Exceptional business partnering skills, you build credibility with non-finance stakeholders across GTM and functional teams and influence decisions without formal authority
More about this role
Creating content that resonates is great — turning that attention into growth is even better. That's what Manychat does.
Our AI-powered automations help creators and brands engage with audiences across Instagram, Messenger, WhatsApp, and TikTok — at the right moment, with the right message, minus the manual work.
We're 400+ people across three continents behind the leading platform for conversational growth, with AI skills shaping how we build, how we work, and how we grow.
We are looking for a Senior Manager of FP&A to join our Finance team. This is a high-impact, hands-on role that owns the full planning cycle, from annual budget to monthly close to cash forecasting, while serving as a strategic finance partner to business leaders. You will bring both technical depth and commercial instincts, and you will thrive in a fast-moving, high-growth environment.
Co-own the full FP&A cycle: annual budgeting, quarterly reforecasts, monthly close and variance analysis, and rolling forward forecasts across headcount and Opex.
Own cash flow forecasting: build and maintain a rolling 12-month cash model using both direct and indirect methods, ensuring the two reconcile and triangulate against...
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