FP&A Manager
On-site · Miami, Florida, United States or Tampa, Florida, United States
Job Summary
FP&A Manager responsible for budgeting, forecasting, and profitability analysis in a banking context. Develops complex financial models, supports annual budget and quarterly forecasts, drives three-year strategic planning, prepares board and management reporting, creates profitability metrics and KPIs, and contributes to due diligence and post-close analytics for M&A. Requires strong financial modeling, Excel/PowerPoint, SQL skills, experience with financial reporting tools, and ability to present results to senior leadership.
Required Qualifications
- 5 years of related experience with financial institutions in Finance/Accounting
- MBA or Master’s Degree in Finance or Accounting strongly preferred
- Strong understanding of bank FTP, capital and cost allocation methodologies
- Advanced financial modeling experience required
- Advanced Excel and PowerPoint skills required
- Experience with Axiom Financial Reporting preferred
- Ability to extract and analyze data from various sources required
- SQL and Microsoft Excel Power Query preferred
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