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Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates strong financial modelling capabilities and advanced skills in Excel and Google Sheets, with a focus on building scalable FP&A tools and processes. Proven ability to analyze complex data sets, provide actionable insights, and partner with senior stakeholders in fast-paced environments.
Highest-signal resume keywords
Financial ModellingFP&A ExperienceData AnalysisStakeholder ManagementRevenue Model Understanding
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Financial ModellingAdvanced Excel SkillsGoogle Sheets SkillsScenario ModellingSensitivity AnalysisBudgetingVariance AnalysisOperational KPIs TrackingData Visibility ImprovementPerformance Analysis
Soft Skills
Analytical ThinkingCommercial MindsetIntellectual CuriositySelf-StarterRelationship Building
Tools & Technologies
FP&A ToolsReporting FrameworksDashboards
Industry Keywords
Commercial FinanceStrategic AnalysisHigh-Growth EnvironmentsStartup ExperienceFinancial Governance
About the role
Key responsibilities & impact- Own group-level forecasting across revenue, headcount, costs and cash flow
- Build and maintain financial models supporting planning and investment decisions
- Analyse performance trends and highlight risks, opportunities and drivers
- Lead scenario modelling, long-range planning and sensitivity analysis
- Work with functional leaders to understand performance, risks and future requirements
- Translate financial insights into actionable recommendations
- Provide commercial input on new initiatives and operational decisions
- Build relationships and support decision-making with high-quality data
- Produce monthly reporting packs with commentary, analysis and a clear narrative
- Track revenue, margins, unit economics and operational KPIs
- Improve reporting processes, dashboards and data visibility
- Maintain audit-ready documentation and ensure accuracy and consistency
- Build scalable FP&A tools, processes and reporting frameworks
- Run the budgeting cycle and standardised planning processes
- Partner with Management Accounting on performance reviews, month-end insight and variance analysis
- Strengthen financial governance and planning discipline across the business
Requirements
What you’ll need- Significant experience in FP&A, commercial finance, or strategic analysis
- Experience in a startup or scale-up, ideally having built or rebuilt an FP&A function
- Strong financial modelling capability and advanced Excel/Google Sheets skills
- Confident analysing complex data sets and translating them into clear recommendations
- Experience partnering with senior stakeholders and influencing decisions
- Strong understanding of revenue models, costs, margins and operational metrics
- Highly analytical, commercially minded and intellectually curious
- Comfortable in fast-paced, high-growth environments with shifting priorities
- A self-starter who enjoys building structure, improving tools and driving clarity
- Must be able to work 3 days on-site per week
Benefits
Comp & perks- Healthcare benefits: 'Premium' plan with 100% employee cover and 50% dependent cover
- Vacation: 20 days + 11 Federal holidays + 1 day of Birthday leave
- 401k: Matching contribution up to 2% of salary
- Equity: Options in Lawhive LTD
