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FP&A Manager

Creative Financial Staffing - Dayton, OH

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Job Description

FP&A Manager Dayton, OH Full-Time | Onsite $130,000 - $175,000 We are seeking an experienced and detail-oriented FP&A Manager to join our client's finance team. In this pivotal role, you will be responsible for managing cash forecasting, improving financial processes, and ensuring compliance with sales tax policies. This is a great opportunity for a professional with a strong background in financial analysis and treasury functions. Why Work Here? - Join a trusted, fourth-generation leader in construction services with a strong reputation for excellence - Be part of a safety-driven, innovation-focused team that values forward-thinking solutions - Make an impact in a progressive-minded workplace where your voice matters and change is encouraged Key Responsibilities: Forecasting (Business, Capital, Cash): Lead the development of integrated forecasting models that drive strategic decision-making across the organization. Budget Ownership: Take full command of the budgeting process. Shape financial strategy, drive alignment across departments, and deliver insights that impact the entire operation. Project Performance & Analytics: Spearhead performance tracking for core projects. Partner with project management, accounting, and estimating teams to enhance data systems and elevate operational efficiency. Insurance & Risk Management: Manage insurance audits, renewals, and risk inquiries. Serve as a key advisor on risk strategy and compliance. Sales & Use Tax Compliance: Lead a compliance overhaul by supporting audits, creating policies, and developing tools and training to ensure adherence to tax regulations. Mechanics Liens Strategy: Design and implement lien filing protocols to protect company assets. Own the development of procedures, tools, and training for long-term risk mitigation. Software Optimization: Drive improvement of internal financial and operational software. Qualifications: Bachelor's degree in Accounting, Finance, or relevant field required. 7+ years of experience in treasury, financial analysis, or a related field. Strong proficiency in P&L analysis, sales tax policies, and cash forecasting. Experience in the construction industry is highly preferred but not required. #LI-RM1 #LI-Onsite #INSEP2025

Created: 2025-09-25

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