IPO-Ready FP&A Analyst (G&A & Cash Flow)
AlphaSense Oy
AlphaSense is seeking an analytically rigorous finance professional to own G&A expenses and cash flow analysis, supporting an IPO-ready finance function. You will build driver-based models, partner with executives, and own budgeting, forecasting, and reporting processes. Ideal candidates bring 3+ years in FP&A or corporate finance, strong Excel, and experience with adaptive planning tools. Work alongside senior leaders in a fast-paced, global environment. #J-18808-Ljbffr AlphaSense Oy
- ...is seeking a rigorously analytical finance professional to own G&A expenses and cash flow analysis, partnering with senior leaders to build an IPO-ready finance function. The role emphasizes hands-on FP&A or corporate finance experience, with strong modeling, data skills...Cash
- GE HealthCare seeks a Cash FP&A Analyst to support global Free Cash Flow forecasting, reporting, consolidation, and analytics. You will partner across Finance, Treasury, Controllership, and business teams to strengthen cash performance and governance over enterprise cash...Cash
- GE HealthCare Global Finance team seeks a Cash FP&A Analyst to support Free Cash Flow forecasting, reporting, consolidation, and performance management across a global organization. You will partner across regions and businesses, maintain the cash source of truth, and deliver...Cash
- ...Ireland. Come join us! About the Team: The FP&A team partners with executive team... ...potential finance professional to own G&A expenses and cash flow analysis and support the FP&A leadership team in building out a scalable, IPO-ready finance function at AlphaSense. This role...Cash
- ...finance professionals to join our team. The role involves partnering with senior financial executives on high-impact projects such as IPO readiness, mergers and acquisitions, carve-outs, and complex financial reporting for Fortune 1000 clients. Ideal candidates have 4+ years...Suggested
- ...companies and involves ensuring compliance with US GAAP, preparing pre- and post-deal financial reporting, and contributing to IPO readiness activities. The position requires a bachelor’s degree in accounting or related field, with CPA consideration. #J-18808-Ljbffr Alvarez...
- ...A&M CFO Services to support private equity portfolio companies. The role focuses on US GAAP expertise, financial reporting, and IPO readiness support. You will build financial models, assist with pre- and post-deal reporting, and help optimize liquidity and working capital...
- The Sr. FP&A Analyst will be responsible for collaborating with business leaders and senior management to prepare monthly/quarterly reporting... ...plus. Strong grasp of income statement, balance sheet, and cash flow financial statements along with the ability to analyze...Cash
$125k - $150k
...to learn more. Base pay range $125,000.00/yr - $150,000.00/yr FP&A Analyst - Manager High net worth Single Family Office is seeking a... ...reporting packages and variance analysis. Support scenario planning, cash flow forecasting, and investment analysis. Contribute to the...CashFull timeWork at officeRemote workShift work$116.16k - $174.24k
Job Description Summary The Cash FP&A Analyst will support global Free Cash Flow forecasting, reporting, consolidation, and analytics while partnering across Finance, Treasury, Controllership, and business teams. The role strengthens cash performance management through...CashVisa sponsorshipWork visaRelocation package- Ullico, Inc. seeks a Senior Portfolio Analyst to join its Real Estate Debt Group in Chicago, IL. You will manage mortgage portfolio analytics, cash flow projections, and reporting for internal and GAAP filings, reporting to the Regional VP. You will support underwriting...Cash
- ...experience. The ideal candidate should have worked with various financial institutions and has strong deal experience, especially in cash flow lending. Experience in private credit sponsor acquisition financings and structured finance is desirable. Candidates should be...Cash
- GE Aerospace is seeking a Senior Finance Manager 1 - FP&A Management to provide financial planning, analysis, and reporting for Northstar P&L and cash flow. This role requires strong analytical skills and collaboration with different teams to drive financial growth and...Cash
$106.7k
JOB REQUISITIONOracle EPM FCC/FP&A Senior ConsultantLOCATIONHOUSTONADDITIONAL LOCATION(S)... ...data management, security setup, Navigation flow, workflow etc. Collaborating with business... ...of Income statement, Balance Sheet, Cash Flow, Workforce planning, Capex planning,...CashFull timeTemporary workWork at officeLocal areaRemote workFlexible hours- Chicago Fire FC is looking for a high-performing Financial Analyst to join our Financial Planning & Analysis team. This role is ideal... ...position. You will contribute to financial reporting, forecasting, cash flow analysis, and modeling, working closely with stakeholders to...Cash
- ...ledger postings for multiple projects. You will ensure subcontractor waivers, collect government reports, assist with accounts receivable and project cash flow, analyze variances, and prepare reports on project profitability for management. #J-18808-Ljbffr Path ConstructionCashFor subcontractor
$85.5k - $139.35k
...budgeting, financial modeling and forecasting experienceExperience with CAPEX forecasting and planning which includes operations, cash flow and financial accountingAbility to organize and analyze large volumes of data, perform data reconciliations and summarize for executive...CashTemporary workWork at officeWorldwide$90k - $105k
...behind them. And yeah, we've got the best. Ready to join our growing Potbelly Nation?... ...with preparation of annual operating plans, cash flow projections, and multiple forecast cycles... ...and process improvement initiatives across FP&A reporting and analytics workflows...CashTemporary workCasual workFlexible hoursShift work- Harris Associates L.P. in Chicago is seeking a Portfolio Accounting Associate to maintain portfolio accounting data integrity, manage cash flows, and oversee outsourced reconciliations. You will coordinate month-end ABOR closes and interact with internal teams and external...Cash
$300k - $400k
...The Senior Director, TAS Tax Reporting and Readiness role represents a unique opportunity to... ...integration, audit support, sell-side and IPO readiness, carve-out issues and tax... ...California, Portage Point provides a good-faith cash compensation range for this position....CashInterim roleWork at officeRelocation$120k - $140k
...worthy dinners, breakfast, lunch, snacks, and ready-to-eat meals. Purple Carrot prioritizes... ...We are looking for a Manager, FP&A to join our mission-driven team. This is... ...over time Partner with Accounting on the cash flow model, balance sheet, and income statement...CashWork at officeFlexible hours3 days per week$92.22k - $106.1k
...We have a community of resources that are ready and willing to support your ideas, build your... ...to gather business requirements, process flows, and define system design documentation.... ...presentations.RequirementsWorkday Contracts to Cash Services CertificationMinimum 2 years of...CashFull timeContract workLocal areaFlexible hours- ...to develop and present tax, estate, insurance, portfolio, and cash flow analyses that illuminate a client’s situation and help them achieve... ...than 4 minutes.” You’ve reviewed this job posting and you’re ready to start the candidate journey with us. Apply now to move to...CashFull timeTemporary workLocal areaFlexible hours
- Tropicana Brands Group, a $3B beverage company, seeks a Finance Manager to lead HQ cost and cash planning. You’ll partner with senior finance and functional leaders to drive disciplined budgeting and forecasting. Responsibilities include SG&A and one-time cost planning...Cash
- ...Build and maintain detailed financial models including discounted cash flow, leveraged buyout, and comparable company analyses. Prepare... ...sector and size tier, and synthesizing findings into presentation‑ready outputs. Assist in the development of comprehensive valuation...Cash
$121.44k - $154.84k
...investments as well as the drivers behind sustainable profits and cash flows.Create and design tailored transaction advisory reports... ...more than 150 global markets.The team you’re about to join is ready to help you thrive. Here’s how: • Whether it's your work location...CashWork experience placementInternshipSeasonal workWork at officeLocal areaFlexible hours3 days per week$190k - $234k
...to the Vice President, Global FP&A, the Director, Global FP&A is... ...across P&L, balance sheet, and cash flow Ensure accuracy, transparency... ...Deliver clear, decision-ready insights to senior leadership... ...team, including managers and analysts Set clear priorities, performance...CashWork experience placementLocal area$65k - $75k
...Looking For The Finance & Grants Analyst supports NAMI Chicago’s... ...to improve how financial data flows, is validated, and is reported... ...Monitor and maintain operating cash flow Create invoices and record... ...and procedures Maintain audit ready invoices files and related supporting...CashFull timeContract workTemporary workWork at office3 days per week$100k - $115k
...Fortune 1000 and other large companies: Initial Public Offering (IPO) readiness, mergers and acquisitions, carve-outs, and more. About our... ...Create value for clients by helping improve profits, cash flow, and liquidity planning, analysis, and enhancement. Experience...CashWork at officeLocal areaImmediate start- ...Quantitative Finance Analyst Charlotte, North Carolina;Chicago, Illinois; Atlanta, Georgia... ..., pricing, risk appetite, revenues and cash flows. Quantitative Development – Architect... ...and analytical models into production-ready applications, including consumer...CashWork at officeFlexible hoursShift workDay shift
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