Website:
joblet.ai
Job details:
- Role : Corporate Finance Manager
- Location : California, United States (Remote)
- Employment type : Full-Time
About the Company
Joblet.ai is the AI-hiring infrastructure built for the precision era of recruitment. We are not a traditional job board — we are a scalable intelligence engine connecting enterprise employers across North America and Europe with top-tier, tech-savvy professionals.
For professionals, Joblet.ai is your elite career copilot. Through ApplyAI, intelligent Resume Builders, and targeted Skill Training, we eliminate the friction of the job search. Upload your profile once; our algorithms match your skills to the roles you deserve. Stop searching. Start matching.
About the Role
Joblet.ai is looking for a Corporate Finance Manager to lead financial planning, analysis, and reporting as we scale. You will act as a key strategic partner to the CEO and leadership team, completely owning budgeting, forecasting, and the critical financial models that underpin our business decisions. This role sits at the very center of Joblet.ai's growth story.
What You Will Do
- Financial Planning: Own the annual budgeting and quarterly forecasting processes, working cross-functionally across all departments to build robust, reliable financial plans.
- Complex Modeling: Build, refine, and maintain integrated financial models covering P&L, cash flow, headcount capacity, and unit economics.
- Executive Reporting: Prepare detailed, high-impact monthly financial reporting packages for executive leadership and board stakeholders.
- Strategic Analysis: Conduct deep scenario analysis and ad hoc financial modeling to support critical strategic decisions, including pricing strategies, hiring plans, and geographic expansion.
- Accounting Partnership: Partner closely with the accounting team on month-end close procedures, variance analysis, and the implementation of strong financial controls.
- Fundraising Support: Actively support future fundraising processes, including preparing investor reporting, curating data rooms, and navigating financial due diligence.
What We Are Looking For
- Experience: 5–8 years of high-performance experience in corporate finance, FP&A, investment banking, or private equity.
- Technical Expertise: Expert-level financial modeling skills in Excel. (Note: Hands-on experience with modern FP&A platforms like Anaplan, Pigment, or similar is a major plus).
- Industry Knowledge: Deep, operational understanding of SaaS or marketplace business models and their key financial metrics (e.g., ARR, CAC, LTV, Net Retention).
- Business Partnering: Exceptional business partnering and communication skills. You are just as comfortable presenting to the board of directors as you are collaborating with lead engineers.
- Mindset: High attention to detail combined with the rare ability to zoom out and understand the broader strategic picture.
- Credentials: A CPA or CFA designation is considered a strong advantage, though not strictly required.
Apply Now!
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