Greenrise Technologies is a full-service green stormwater infrastructure firm that delivers innovative, reliable, and precisely engineered stormwater management turnkey system, engineered media, componentry, and maintenance.
In 2017, Greenrise partnered with Boyne Capital, a Miami, FL-based Private Equity firm that seeks to forge lasting and collaborative relationships with companies and support them in achieving their next phase of growth.
Reporting to the CFO, the FP&A Manager will support financial and strategic decision-making for our various business lines and locations. The FP&A Manager will be responsible for leading the budgeting, forecasting, and financial analysis processes, ensuring accuracy and actionable insights to support business growth and profitability. This individual will work closely with the leadership team and divisions to provide in-depth financial reporting and strategic recommendations, while maintaining financial discipline in a private equity-backed environment.
Responsibilities:
- Lead the annual budgeting process, coordinating across multiple divisions
- Prepare and maintain monthly and quarterly forecasts and variance analysis
- Drive regular reporting processes on business line KPIs, including weekly and monthly operational scorecards, as well as dashboards and analyses for business review meetings
- Evaluate financial and operational results to better understand company performance and identify opportunities for both revenue growth and expense management
- Ensure the accuracy and timeliness of financial data and reports
- Collaborate with IT and finance teams to optimize reporting systems, tools, and processes
- Build relationships across the organization and serve as a trusted partner, supporting departmental decision-making with ad hoc profitability/ROI analyses
- Benchmark the company’s financials, set realistic targets based on a strong understanding of the business, and drive improved financial performance
Qualifications:
- Bachelor’s degree in finance, accounting, economics, or a related field
- 5+ years of experience in financial planning and analysis
- Experience with Power BI
- Exceptional financial modeling skills, utilizing best practices in budgeting and forecasting
- Experience performing variance analysis and monitoring KPIs
Preferred but not required:
- Multi-division or multi-location environment
- Experience in private equity-backed environment
- CPA or MBA
- Big 4 experience