***Must live in Orlando and be in office 4 days a week***
The Manager of FP&A and Treasury serves as a key finance partner responsible for driving disciplined financial planning, forecasting, and performance analysis while overseeing cash, liquidity, and treasury operations. This role blends strategic financial insight with operational rigor—supporting executive decision-making, ensuring strong cash visibility, and safeguarding the company’s financial flexibility.
The ideal candidate is analytical, detail-oriented, and highly collaborative, with the ability to translate complex financial data into clear, actionable insights while also managing day-to-day treasury execution.
KEY RESPONSIBILITIES
Financial Planning & Analysis
Treasury & Cash Management
Controls, Governance & Process Improvement
People & Collaboration
QUALIFICATIONS
EDUCATION & EXPERIENCE
Skills & Competencies