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FP&A Analyst

Miami, FLFinance & AccountingRemote3+ YOE
Summary

Develop and maintain financial models, forecasts, and budgets for a fintech payments platform. Analyze revenue streams, payments economics, and provide insights to executives, investors, and cross-functional teams. Requires 3+ years FP&A experience and advanced Excel skills.

About the role

Financial Planning & Analysis

  • Build and maintain company-wide financial and accounting statements, including monthly forecasts, annual budgets, and long-range planning
  • Analyze revenue, gross margin, and contribution profit across products, customers, and partners
  • Develop driver-based models to forecast key metrics such as GMV / TPV, take rate, revenue yield, and unit economics
  • Support scenario planning and sensitivity analyses for new products, pricing strategies, and partnerships

Payments & Fintech Economics

  • Analyze and forecast payments revenue streams, including interchange, network fees, processor costs, and revenue share agreements
  • Build models around interchange-plus, buy-rate, and blended pricing structures
  • Evaluate merchant profitability, cohort performance, and partner economics
  • Partner with Operations and Product teams to improve visibility into transaction-level economics and margin drivers

Investor Reporting

  • Support preparation of monthly and quarterly investor reporting packages
  • Assist in financial presentations, including KPIs, variance analyses, and strategic insights
  • Contribute to fundraising materials, data rooms, and ad hoc investor requests
  • Translate complex financial data into clear, compelling narratives for executive and investor audiences

Management Reporting & Business Partnering

  • Prepare monthly management reporting packages, including variance analysis vs. budget/forecast
  • Support quarterly and annual department level budgeting and forecasting
  • Partner cross-functionally with Sales, Operations, and Product to understand drivers of performance
  • Deliver insights on growth, profitability, and efficiency metrics
  • Support pricing decisions, contract structuring, and strategic initiatives

Data & Process Improvement

  • Build scalable financial models and reporting tools using Excel
  • Automate reporting processes and improve data integrity across systems
  • Support Financial Operations (FinOps) Team with monthly software partner residual reporting
  • Partner with FinOps, Product, and Engineering teams to enhance access to financial and operational data
  • Continuously improve FP&A processes, reporting cadence, and forecasting accuracy

Required

  • Bachelor’s degree in Finance, Economics, Accounting, Business Administration or a related field
  • 3+ years of experience in corporate finance, FP&A, Big 4 accounting, investment banking, or management consulting
  • Proficiency in understanding financial statements, forecasting, and budgeting
  • Advanced Excel / financial modeling skills (complex formulas, scenario modeling, large datasets)
  • Experience building 3-statement models, operating models, or unit economics frameworks
  • Strong analytical, problem-solving, and attention-to-detail skills
  • Excellent communication skills, with the ability to present financial insights clearly to stakeholders

Preferred Qualifications

  • Experience in payments, fintech, SaaS, or embedded finance
  • Familiarity with payments economics, including interchange, network fees, acquirer/processor pricing, and revenue share models
  • Experience supporting investor reporting, management / board reporting, or fundraising processes
  • Experience working in a high-growth startup or venture-backed company
  • Exposure to BI tools (Tableau, Power BI, Looker) and/or SQL
  • Background working with transaction-level or large-scale financial datasets
Skills
Excelfinancial modeling3-statement modelsSQLTableauPower BILookerforecastingbudgetingunit economics