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Manager, FP&A and Strategy

We are seeking a Manager, FP&A and Strategy to join our Finance team. The Manager, FP&A and Strategy will play a key role in supporting executive leadership and our private equity sponsor, combining core FP&A ownership (forecasting and performance reporting) with analytical production for Corporate Strategy and Development initiatives. 

This role will partner cross-functionally throughout the organization, working especially close with Accounting to ensure financial accuracy, Sales and Distribution to bolster existing and grow new revenue opportunities, and Corporate Strategy to evaluate special projects and M&A opportunities. When not working on strategic projects, this role will participate in driving improvements to the financial processes and workstreams that provide visibility into performance across our operating model and content portfolio.

The ideal candidate combines strong financial modeling skills with the ability to think critically and holistically about end-to-end business processes. This person is comfortable owning work product from granular inputs to executive outputs, distilling complex analysis into clear and concise recommendations for senior stakeholders. This person can effectively jump between independent and group work, and thrives in a fast-paced, investor-driven environment.


Department: Finance
Reports to: SVP, Finance & Strategy
Pay Rate: $120k - $150k if annualized DOE
Paid Time Off: Holidays, Paid Sick Leave
Compensation: Full benefits package including 401(K) with match, medical, dental, vision and more
Work Location: Hybrid (Must reside in Los Angeles or New York Metropolitan area)


Key Responsibilities:

Financial Reporting, Forecasting and Analysis

  • Lead the company’s cash flow forecasting process, providing clear visibility into cash receipts, disbursements, working capital, and overall liquidity

  • Serve as the financial liaison to leaders of new monetization opportunities, including direct advertising efforts and a revitalized direct-to-consumer app

  • Own the development and maintenance of detailed revenue, margin, EBITDA, and cash flow forecasts for these and other business lines

  • Partner closely with Accounting to ensure monthly alignment between forecasted and reported results, including revenue recognition, accruals, and cash timing

  • Prepare applicable monthly management reporting and the annual budgeting inputs, including production of supporting schedules, scenario planning and identified financial and operational risks and opportunities

  • Drive process improvements, spanning FP&A and adjacent cross-functional workflows, that strengthen transparency, improve reporting cadence, and provide clearer insights into financial performance and alignment to strategic priorities

  • Conduct external market research and competitive benchmarking to evaluate new business opportunities and technologies, verifying findings against multiple sources


Lender and Board Reporting and Analysis

  • Contribute to preparation of lender reporting, including covenant compliance, and supporting schedules, ensuring accuracy, completeness, and timeliness

  • Create detailed financial analysis, including standalone vertical performance, margin contribution, EBITDA, and cash flow generation by business line for private equity stakeholders

  • Assemble financial aspects of the quarterly and interim board materials, including ad hoc financial analysis and deck page creation.


Corporate Development, Strategy, and Special Projects

  • Support M&A underwriting, confirmatory diligence analyses, and synergy modeling for integration planning

  • Provide analytical coverage to strategy projects including but not limited to KPI optimization, operational change management, organizational restructuring, and new commercial opportunities

  • Participate and engage with third party consultants for catalog valuation, cash proofing, quality of earnings, and tax strategy

  • Identify and help implement improvements to cross-departmental processes and workstreams, partnering with functional leaders to translate strategic priorities into operational change


Qualifications:

  • 4+ years of experience in FP&A, investment banking, private equity and corporate development

  • Experience in media, entertainment, licensing, and digital distribution preferred

  • Strong financial modeling skills (advanced Excel required)

  • Demonstrated ability to build and maintain integrated three statement financial models for forecasting, cash flow planning, and financial reporting

  • Experience preparing executive and investor-facing materials

  • Comfortable working at a granular, line-item level of detail (e.g., contract terms, deal-level revenue allocations) without losing sight of the broader strategic picture

  • Operates independently with sound judgment, while proactively raising open questions or flagging risks to senior stakeholders

  • Strong written and verbal communication skills, with the ability to synthesize complex analysis into clear, concise recommendations for executive and investor audiences

 

 

To apply for this position, please send in a cover letter and resume detailing your experience an interest via email to jobs@radialentertainment.com.

 

**Radial Entertainment is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.