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Confirmed on the employer's own hiring board on Sep 23, 2026. First seen by Alion on Sep 23, 2026. Pavago scores B on the Alion truth index.

Overview
Company
Impact
Profile match
Pavago is a remote staffing company that recruits and places full-time offshore employees with small and mid-sized businesses in the United States, Canada and the United Kingdom. It sources candidates from Latin America, South Asia, Africa and the Philippines for roles in customer support, sales development, bookkeeping, virtual assistance, marketing, recruiting and back-office operations, handling screening, contracting and payroll on the client's behalf. The company operates as a distributed organisation, bills a recurring fee per placed employee rather than a one-off placement fee, and posts a continuous stream of remote vacancies for its client base.

Corporate Finance Manager - Remote

Position Type: Full-Time, Remote

Working Hours: U.S. Client Business Hours (flexibility for month-end close, forecasting cycles, and board reporting deadlines)

About the Role

At Pavago, one of our clients is hiring a Corporate Finance Manager to lead financial planning, capital allocation, and strategic finance initiatives.

This role focuses on budgeting, forecasting, investment analysis, liquidity management, and executive reporting. You’ll partner closely with leadership, build financial models, evaluate investments, and provide the insights needed to support strategic business decisions.

What You’ll Do

Financial Planning & Analysis (FP&A)

  • Lead annual budgeting and forecasting processes.
  • Consolidate financials across business units or entities.
  • Analyze financial performance and explain key variances.

Strategic Finance

  • Build financial models for investments, capital projects, and M&A opportunities.
  • Perform scenario and sensitivity analyses.
  • Identify cost-saving opportunities and margin improvements.

Cash & Treasury Management

  • Monitor cash flow, liquidity, and working capital.
  • Track debt covenants and capital structure.
  • Partner with banks and investors on financing initiatives.

Reporting & Executive Insights

  • Prepare management reports, KPI dashboards, and board presentations.
  • Deliver variance analysis and financial commentary.
  • Support accurate reporting aligned with GAAP or IFRS.

Leadership & Collaboration

  • Partner with operations and business leaders on financial planning.
  • Mentor financial analysts and review financial models.
  • Support executive reporting, fundraising, and strategic initiatives.

Controls & Compliance

  • Strengthen financial controls around reporting and forecasting.
  • Support audits and due diligence activities.

Required Experience & Skills

  • 5+ years of experience in Corporate Finance, FP&A, or Investment Banking.
  • Advanced Excel or Google Sheets skills, including financial modeling and scenario analysis.
  • Experience with ERP systems such as NetSuite, SAP, or Oracle.
  • Strong experience preparing executive reports and presentations.

Nice to Have

  • MBA, CFA, or CPA.
  • Experience with mergers & acquisitions or capital raising.
  • SaaS, professional services, or multi-entity finance experience.
  • Experience with Power BI, Tableau, or Looker.

What a Typical Day Looks Like

  • Update forecasts and analyze budget variances.
  • Build financial models for investments and strategic initiatives.
  • Prepare executive and board-level reports.
  • Review analyst work and provide coaching.
  • Monitor liquidity and treasury metrics.
  • Partner with business leaders on financial planning.

In short: You’ll help leadership make confident financial decisions through accurate forecasting, strategic analysis, and executive reporting.

Key Metrics for Success

  • Forecast accuracy within target variance.
  • Timely, accurate management and board reporting.
  • Return on capital investments.
  • Executive satisfaction with financial insights.
  • Strong team development and high-quality analyst output.

Interview Process

  • Application Review
  • Spark Hire Intro Video (3-5 minutes)
  • Practical Assessment (Financial Model & Variance Analysis)
  • Client Interview
  • Offer & Onboarding

What Happens After You Apply

After submitting your application, you’ll receive an email invitation from Spark Hire to record a short 3-5 minute Intro Video. This is the first step in our hiring process and can be completed whenever it’s convenient for you.

Instead of multiple screening calls, you’ll have one opportunity to introduce yourself, discuss your corporate finance experience, and highlight your background in financial planning, modeling, forecasting, reporting, and strategic analysis. Your video will be reviewed before moving forward in the interview process.

You can record your video as many times as you’d like before submitting it-only your final version will be reviewed.

Please keep an eye on both your inbox and spam folder for your Spark Hire invitation after applying.

Apply Now

If you enjoy financial modeling, strategic planning, executive reporting, and helping leadership make data-driven decisions, we’d love to hear from you. Apply today and help shape the financial strategy of a growing organization.

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