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Finance Manager, FP&A

GameStop Texas LTD

Job Description

Job Description

We are searching for a Finance Manager, FP&A . The role will focus on global financial planning, financial statements, driver-based model creations, reporting and business analysis that leads to strategic business decisions throughout the organization.

This role sits onsite 5 days a week in Grapevine, TX.

Key Responsibilities

  • Partner with business leaders to ensure overhead expenses are well managed.
  • Preparation of annual budgeting and quarterly forecast process in collaboration with international and domestic functional leaders across the business, encompassing resource planning and overhead spending.
  • Monthly and quarterly financial business reviews, including reviewing results vs. plan, creating future output guidance to leadership, and explanations to address variances between actuals and plan.
  • Identify and quantify risks or opportunities to plan due to current business environment and provide insights and recommendations to mitigate risks or benefit from opportunities.
  • Payroll & Vendor forecasting for all corporate functions.
  • Assist finance team with consolidation of financial statement modeling (Income Statement, Balance Sheet & Cash Flow).
  • Global financials consolidation, maintain financial systems, streamline and document processes & procedures, timely & accurate spend allocations.
  • Create and maintain financial and contribution models to ensure proper allocations while improving analytics, transparency and forecast accuracy that drive strategic business decisions.
  • Establish business relationships across the organization and serve as a strategic thought partner while quantifying financial implications of strategic initiatives to aid in decision making process.
  • Assist in the preparation of management decks and BOD materials.
  • Take a proactive approach to developing and improving upon recurring processes to drive efficiency, where applicable.
  • Be a trusted and strategic partner while working collaboratively with the Accounting, Treasury, Audit and Tax departments.
  • Support the team on end-to-end capital expenditure analytics, planning and governance.
  • Support special projects and ad-hoc requests as needed to provide analytical and decision-making support on new initiatives.

Qualifications

  • 5+ years of related experience.
  • Undergraduate degree in Finance or Accounting (MBA or CPA preferred).
  • High aptitude for solving complex problems utilizing financial modeling and analysis, including advanced Excel (must-have) and PowerPoint.
  • Excellent communication and collaboration skills, particularly the ability to explain complex concepts and financial results to non-financial audiences.
  • Must be a proactive and highly organized self-starter, intellectually curious and able to work independently and under tight deadlines.
  • Experience with financial & reporting systems (SAP, Oracle Suite, SmartView, Adaptive, Power BI, Google Big Query, SQL).
  • Must be comfortable operating in a startup and entrepreneurial environment.
  • Solid understanding of US GAAP.
Vacancy posted 18 days ago
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