Overview
Check is seeking a Senior Corporate Finance professional to drive financial planning, analysis, and strategic decision-making. This role will partner with executive leadership to manage budgeting, forecasting, capital planning, treasury activities, and investor communications, helping shape the company's growth strategy.
Responsibilities
- Lead the forecasting and budgeting processes for the company, ensuring accuracy and timely delivery.
- Develop and maintain robust financial models to support strategic initiatives and business cases.
- Analyze capital structure, fundraising options, liquidity, and working capital management.
- Prepare board materials, management reports, and provide insightful financial commentary for leadership.
- Collaborate with cross-functional teams including Accounting, FP&A, Treasury, and Operations to drive performance.
- Support M&A activity, partnerships, and other strategic initiatives as needed.
- Monitor cash flow, treasury functions, and compliance with internal controls.
Qualifications
- Bachelor\'s degree in Finance, Economics, or related field; MBA preferred.
- 5+ years of experience in corporate finance, FP&A, or a related area.
- Strong financial modeling skills, advanced Excel, and data analysis capabilities.
- Experience with SQL or BI tools (e.g., Tableau, Power BI) is a plus.
- Excellent communication, presentation, and cross-functional collaboration abilities.
- Ability to work independently in a fast-paced environment with attention to detail.
About Check
Check is a fast-growing company delivering innovative financial technology solutions to help businesses manage their finances more effectively.