Strategic Finance Manager/Analyst Job at FreshRealm, United States

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  • FreshRealm
  • United States

Job Description

**This is a remote based position.** FreshRealm is currently in a high-growth state, and our culture of ACTIONS drives our team members forward to maximize their potential. We are a team of hardworking, passionate leaders who persevere through challenges, collaborate with one another to problem solve and achieve desired outcomes, and work to bring out the best in our employees as we service our customers. At FreshRealm, we welcome individuals from all backgrounds and abilities to apply and make employment decisions based on merit. We are looking for a highly analytical and detail-oriented Strategic Finance Associate to join our team and play a key role in supporting the company's most critical financial initiatives. This individual will be responsible for developing scenario-based cash flow models, analyzing liquidity under various strategic paths, and preparing materials for investors, auditors, and external advisors. The ideal candidate has a strong foundation in corporate finance or transaction services, thrives in fast-paced, project-based environments, and is eager to contribute to a company navigating complex growth and financing decisions. **Key Responsibilities** + Develop and maintain scenario-based and special project cash flow forecasts, with a focus on strategic initiatives such as capital raises, M&A, IPO readiness, and major capex investments. + Partner with finance leadership to analyze cash runway, liquidity risks, and funding needs across various strategic and transactional paths. + Forecast and evaluate the cash flow and P&L impact of capital structure changes, strategic investments, and financing events. + Support the monitoring, analysis, and reporting of bank covenants, debt compliance, and investor agreements-particularly in the context of evolving deal structures or financing rounds. + Contribute to planning and execution activities related to **onboarding newly** **acquired** **entities** , including financial integration, systems alignment, and one-time setup activities. + Assist with **one-time or ad hoc financial events** , such as asset divestitures, internal reorganizations, or special audits. + Help identify and manage statutory, accounting, and audit requirements associated with IPO or M&A readiness. + Prepare detailed financial schedules, models, and supporting documentation for internal and external stakeholders, including investors, auditors, and transaction advisors. + Collaborate cross-functionally with teams including legal, accounting, and investor relations to support due diligence, filings, and external presentations related to deals or corporate milestones. **Qualifications** **Skills & Requirements:** + 2-4 years of experience in FP&A, corporate finance, accounting, transaction services, investment banking, or audit/advisory. + Strong financial modeling skills, especially in scenario analysis and project-based cash forecasting. + Solid understanding of capital structures, bank covenants, and investor reporting requirements. + Exposure to IPO preparation, M&A transactions, or financial integration of acquisitions is strongly preferred. + Advanced proficiency in Excel and analytical tools; experience with ERP or financial reporting systems a plus. **Education** : + Bachelor's degree in Finance, Accounting, Economics, or a related field. **What We Offer:** + Comprehensive benefits package for full-time employees including medical, dental, vision, pet insurance and legal insurance + Bonus potential + Equity + 401(k) with company match that is immediately vested + Life and ADD insurance + Opportunities for career growth with a dynamic company + Unlimited Time Off **Our Values at Work:** We believe that ACTIONS speak louder than words and our company values align to those ACTIONS. In Our Daily Work, This Looks Like: + **ACCOUNTABILITY:** Set clear objectives and prioritize your tasks Hold yourself and your teams accountable for meeting deadlines Learn from your mistakes and use it as a learning opportunity to improve next time + **CHALLENGE WITH CURIOSITY:** We challenge and engage with each other through curiosity and a drive to innovate and transform. This encourages us to learn from one another, be open-minded to other perspectives and possibilities, and continuously improve and problem-solve with intensity. We persevere through challenges, observe patterns, and pay attention to the details to make connections others may overlook, allowing us to exceed expectations. + **TRANSPARENCY & HONESTY:** Maintain open and consistent communication. Admit mistakes and take ownership Document decisions to help avoid misunderstandings + **INNOVATION:** Work with the end-user in mind and create solutions that will add value Question existing norms, assumptions, and best practices Experiment and take calculated, data-driven risks + **OBJECTIVITY:** Utilize data and make data-driven decisions at every opportunity + **NIMBLENESS:** Utilize time management to help stay focused and on task with urgency es and make adjustments accordingly Delegate and trust others to handle specific responsibilities with resources and support + **SUCCESS THROUGH OUR CUSTOMERS:** Know your audience and the type of work they expect to receive as the end-result of a project, initiative, or task Seek feedback at different stages to ensure you're on the right track Foster collaboration among cross-functional teams to ensure you're providing the best experience and service to our consumers _Employee pay will vary based on factors such as qualifications, experience, skill level,_ _competencies_ _and work location_ _._ _We will meet minimum wage or minimum of the pay range (whichever is higher) based on city,_ _county_ _and state requirements._ We are an Equal Opportunity Employer We are an Equal Opportunity Employer. **Job Details** **Job Family** ***Corporate** **Job Function** **Individual Contributor** **Pay Type** **Salary**

Job Tags

Minimum wage, Full time, Immediate start, Remote job,

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