Finance Operations & FP&A Analyst

Posted 10 Hours Ago
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Hiring Remotely in Philippines
Remote
Mid level
Agency • Professional Services • Consulting
The Role
Provides FP&A, financial analysis, management reporting, budgeting, forecasting, accounting oversight, and finance operations support across multiple portfolio companies. The role investigates variances, builds financial models and dashboards, supports month-end close and reconciliations, improves finance processes, and translates financial and operational data into recommendations for senior management.
Summary Generated by Built In

Position Type: Full-time

Location: Philippines (Remote)

Schedule: Flexible hours, aligned with Israel’s Sunday–Thursday workweek.

About the Company

Our client is a growth-focused organization that provides financial and operational support across a portfolio of businesses operating in different industries, business models, and stages of growth.

Rather than focusing on a single company, their finance function works across multiple businesses, each with its own financial structure, reporting requirements, systems, and operational priorities. The team supports management with financial analysis, planning, reporting, accounting oversight, and process improvement to help businesses make better-informed decisions.

About the Role

We’re looking for a highly capable Finance Operations & FP&A Analyst / Manager to provide hands-on financial and operational support across multiple portfolio companies. This role combines FP&A, financial analysis, management reporting, finance operations, accounting oversight, data analysis, and financial modelling. The successful candidate will go beyond preparing reports—they will investigate financial performance, identify trends and inconsistencies, understand the drivers behind the numbers, and translate financial and operational data into actionable insights for management.

Because the role supports multiple businesses simultaneously, the ideal candidate must be highly adaptable, organized, and comfortable switching between different companies, systems, business models, and priorities while maintaining strong attention to detail. The position offers significant autonomy and direct exposure to senior management, requiring someone who can take ownership of work from start to finish and proactively follow financial issues through to resolution.

Responsibilities
Management Reporting & Financial Analysis
  • Prepare monthly and periodic management reporting packages for multiple portfolio companies.

  • Analyse P&L, balance sheet, cash flow, revenue, gross profit, operating expenses, working capital, and other business KPIs.

  • Perform budget-versus-actual and period-over-period analysis.

  • Identify and investigate material variances, trends, inconsistencies, and unusual movements.

  • Translate financial data into clear insights and recommendations for management.

  • Develop reporting tailored to each company's business model and requirements.

  • Maintain financial dashboards and reporting tools.

  • Support management presentations, board materials, investor reporting, and other financial presentations.


FP&A, Budgeting & Forecasting

  • Build and maintain budgets, forecasts, and rolling financial projections.

  • Work with management and operational teams to gather assumptions and incorporate them into financial models.

  • Maintain revenue, profitability, expense, cash flow, and working capital forecasts.

  • Analyse actual performance against budgets and forecasts and explain key drivers.

  • Perform scenario and sensitivity analysis to support business decisions.

  • Develop financial models for new initiatives, products, hires, investments, partnerships, and other opportunities.

  • Analyse unit economics, margins, ROI, and customer or partner profitability.


Finance Operations

  • Support and improve day-to-day finance operations across multiple businesses.

  • Review accounts receivable and accounts payable and identify overdue or unusual balances.

  • Maintain cash flow visibility and support short-term liquidity planning.

  • Review invoices, vendor charges, payment schedules, and financial commitments.

  • Support bank and balance sheet reconciliations and other finance control processes.

  • Assist with payroll, contractor payments, employee expenses, and related reconciliations as needed.

  • Coordinate with bookkeepers, accountants, payroll providers, banks, and other external finance providers.

  • Proactively follow up on outstanding financial matters.

  • Maintain accurate financial schedules and supporting documentation.

Month-End Close & Accounting Oversight

  • Support or manage the monthly financial close process for portfolio companies.

  • Review bookkeeping and financial records for completeness and accuracy.

  • Identify discrepancies, missing entries, incorrect classifications, and unusual balances.

  • Maintain balance sheet reconciliation schedules and supporting documentation.

  • Review intercompany balances and assist with reconciliation and consolidation where relevant.

  • Coordinate with external accountants and bookkeepers to ensure financial statements are accurate and timely.

  • Assist with accounting treatments involving revenue recognition, prepayments, accruals, depreciation, provisions, and write-offs.

  • Keep financial information organized for audits, tax reviews, due diligence, and management requests.

Data Analysis & Business Insights

  • Analyse financial and operational datasets to identify meaningful trends.

  • Use Excel, Google Sheets, and other analytical tools to work with large datasets.

  • Combine data from different systems into structured financial analysis.

  • Build models and dashboards connecting operational metrics with financial results.

  • Investigate inconsistencies between financial reporting and operational systems.

  • Help establish relevant KPIs and processes for tracking business performance.

  • Perform ad-hoc financial and operational analysis for management.

Multi-Company Financial Support

  • Provide financial support across several companies simultaneously.

  • Adapt financial analysis, reporting, forecasting, and operational support based on each company's needs.

  • Quickly understand different business models, financial structures, systems, and priorities.

  • Manage multiple companies, projects, and deadlines without losing attention to detail.

Systems, Processes & Automation

  • Identify inefficient or manual finance processes and recommend improvements.

  • Build scalable reporting templates and financial processes.

  • Improve the quality, consistency, and accessibility of financial information.

  • Support integration of data from accounting, banking, billing, CRM, payroll, and operational systems.

  • Use technology and automation to reduce repetitive finance work.

  • Assist with evaluating and implementing finance tools.

  • Document recurring finance processes for consistency and scalability.

Competencies and Qualifications
Must-Have
  • Bachelor's degree in Accounting, Finance, Economics, Business, or a related field.

  • At least 4 years of relevant experience across FP&A, financial analysis, finance operations, accounting, or a combination of these areas.

  • Strong understanding of financial statements and accounting principles.

  • Demonstrated experience in budgeting, forecasting, management reporting, and variance analysis.

  • Advanced Excel and/or Google Sheets skills.

  • Strong financial modelling and analytical skills.

  • Comfortable working with large datasets and translating them into meaningful financial insights.

  • Strong ability to quickly understand different businesses and revenue models.

  • Excellent problem-solving skills and attention to detail.

  • Ability to manage multiple companies, projects, and deadlines simultaneously.

  • Strong ownership and ability to work independently with limited supervision.

  • Excellent written and verbal English.

  • Comfortable communicating financial information directly to senior management.

Nice-to-Have

  • CPA, CMA, or similar professional qualification.

  • Experience in finance outsourcing, fractional CFO, consulting, BPO, accounting, or professional services.

  • Experience supporting multiple clients, business units, or legal entities simultaneously.

  • Multi-entity or multi-currency experience.

  • Experience with SaaS, digital businesses, advertising, technology, e-commerce, or other data-intensive businesses.

  • Experience with Xero, QuickBooks, NetSuite, or similar accounting systems.

  • Familiarity with Stripe, HubSpot, Deel, Wise, Payoneer, or similar platforms.

  • Experience building dashboards using Power BI, Looker Studio, Tableau, or similar tools.

  • SQL or other data-analysis experience.

  • Experience improving or automating finance processes.

Key Qualities

  • Accountable – Takes ownership of outcomes and follows issues through to resolution.

  • Analytical – Looks beyond the numbers to understand what is driving business performance.

  • Adaptable – Can quickly move between different companies, industries, systems, and priorities.

  • Commercially Minded – Understands how finance supports business decisions, not just accounting compliance.

  • Independent – Can take a broad objective and determine how to execute it without constant direction.

  • Curious – Asks questions and seeks to understand how each business operates.

  • Organized – Can manage multiple companies and assignments without losing track of deadlines.

  • Comfortable with Ambiguity – Can structure unclear financial questions and determine the appropriate approach.

  • Improvement-Minded – Looks for ways to make finance processes more efficient, scalable, and reliable.

  • Trustworthy – Handles sensitive financial and company information with discretion.

What We Offer

  • 100% Remote Work – Work from anywhere in the Philippines.

  • Career Growth Opportunities – Gain hands-on experience, and continuous learning.

  • Collaborative & Innovative Team – Work alongside skilled professionals who value excellence.

Application Process

We understand that searching for a new job can be challenging, and we’re here to support you every step of the way. Our goal is to make the process as transparent and respectful as possible.

The interview process includes a Recruiter Interview, Client Interview, and Assessment. As part of the process, candidates complete a hands-on task during the technical interview. Throughout each stage, we keep you informed and provide feedback as quickly as possible, ensuring you feel valued and supported throughout your journey with us.

Skills Required

  • Bachelor's degree in Accounting, Finance, Economics, Business, or a related field
  • At least 4 years of relevant experience in FP&A, financial analysis, finance operations, accounting, or a combination
  • Strong understanding of financial statements and accounting principles
  • Experience with budgeting, forecasting, management reporting, and variance analysis
  • Advanced Excel and/or Google Sheets skills
  • Strong financial modeling and analytical skills
  • Ability to work with large datasets and translate them into financial insights
  • Ability to understand different businesses and revenue models quickly
  • Strong problem-solving skills and attention to detail
  • Ability to manage multiple companies, projects, and deadlines simultaneously
  • Strong ownership and ability to work independently with limited supervision
  • Excellent written and verbal English
  • Ability to communicate financial information directly to senior management
  • CPA, CMA, or similar professional qualification
  • Experience in finance outsourcing, fractional CFO, consulting, BPO, accounting, or professional services
  • Experience supporting multiple clients, business units, or legal entities simultaneously
  • Multi-entity or multi-currency experience
  • Experience with SaaS, digital businesses, advertising, technology, e-commerce, or other data-intensive businesses
  • Experience with Xero, QuickBooks, NetSuite, or similar accounting systems
  • Familiarity with Stripe, HubSpot, Deel, Wise, Payoneer, or similar platforms
  • Experience building dashboards using Power BI, Looker Studio, Tableau, or similar tools
  • SQL or other data-analysis experience
  • Experience improving or automating finance processes
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The Company
HQ: Manila
99 Employees
Year Founded: 2019

What We Do

MultiplyMii helps global businesses hire skilled remote professionals from the Philippines. Its end-to-end recruitment services cover role planning, talent sourcing, candidate screening, shortlisting, onboarding support, local compliance, Employer of Record services, and retention management. The company supports hiring across marketing, ecommerce, finance, operations, customer support, SEO, project management, technology, and other critical business functions.

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