
Pavago is seeking a Corporate Finance Manager to lead FP&A, strategic finance, capital allocation, and executive financial analysis remotely during U.S. business hours.
The employer’s own job board lists this role’s eligible location as:
South Africa (remote)
Taken from the structured location field on the employer’s job board, not from the wording of the advert, when we last checked it on 2026-09-09. Employers change eligibility without notice — the employer’s page is the authority, not this one.
Not published. This posting states no figure, and we do not estimate one. Ask during the first conversation.
Reproduced from the employer’s own listing, unedited.
Corporate Finance Manager (FP&A, Strategic Finance & Capital Planning) – Remote
Full-Time, Remote
U.S. Business Hours
At Pavago, one of our clients is hiring a Corporate Finance Manager to lead financial planning, forecasting, capital allocation, and executive financial analysis for a growing organization.
This is a strategic finance role—not a transactional accounting position. You’ll work closely with executive leadership to provide the financial insights that drive business decisions, optimize capital allocation, and support long-term growth.
Combining FP&A, strategic finance, treasury management, financial modeling, and executive reporting, you’ll build robust financial models, improve forecasting accuracy, evaluate investment opportunities, and deliver actionable recommendations that influence company strategy.
If you enjoy turning financial data into strategic business decisions, this role is for you.
Financial Planning & Forecasting
Lead the annual budgeting process across departments and business units.
Develop and maintain rolling monthly and quarterly forecasts.
Consolidate financial reporting across multiple entities, business units, or regions.
Improve forecast accuracy and financial planning visibility.
Support long-term financial planning initiatives and strategic budgeting.
Discounted Cash Flow (DCF)
Return on Investment (ROI)
Internal Rate of Return (IRR)
Net Present Value (NPV)
Evaluate capital investments, pricing strategies, expansion initiatives, and M&A opportunities.
Identify opportunities to improve margins, reduce costs, and increase operational efficiency.
Present data-driven recommendations to executive leadership.
Monitor liquidity, working capital, and cash flow performance.
Support debt compliance, capital structure planning, and financing strategies.
Partner with banking institutions, investors, and executive stakeholders.
Improve treasury reporting and cash flow forecasting processes.
Executive reporting packages
Financial summaries
Deliver variance analysis and executive commentary.
Translate complex financial information into clear, actionable business insights.
Ensure reporting accuracy and compliance with GAAP or IFRS standards.
Partner with Operations, Sales, Product, and Executive teams on strategic initiatives.
Align financial planning with operational goals and business priorities.
Support fundraising, investor relations, and strategic finance initiatives.
Mentor Financial Analysts and junior finance team members.
Improve forecasting workflows, reporting processes, and financial controls.
Support audits, due diligence activities, and compliance initiatives.
Enhance reporting scalability through automation and process improvements.
Drive continuous improvements across finance operations.
You combine strategic thinking with strong financial analysis.
You simplify complex financial information for executive decision-makers.
You’re highly analytical, organized, and detail-oriented.
You thrive in fast-paced, growth-oriented environments.
You enjoy influencing business strategy through financial insights.
You’re confident presenting to senior leadership and cross-functional stakeholders.
5+ years of experience in Corporate Finance, FP&A, Strategic Finance, or Investment Banking.
Scenario planning
Consolidations
SAP
or similar systems
Financial models
Strong analytical, financial, and strategic problem-solving skills.
Excellent written and verbal English communication skills.
MBA, CFA, CPA, or equivalent professional qualification.
Fundraising initiatives
Capital allocation projects
Tableau
Background in SaaS, professional services, or multi-entity organizations.
Forecasts consistently achieve target accuracy.
Budgets and financial plans are delivered on time.
Executive and board reporting is accurate, insightful, and actionable.
Capital allocation decisions improve business performance and ROI.
Financial processes become increasingly efficient through automation and optimization.
Leadership relies on finance for strategic planning and decision-making.
Initial Phone Screen
Practical Financial Modeling Exercise
Client Interview with CFO or Executive Leadership
What Happens After You Apply
Right after you apply, you’ll receive an email invitation from
to record your Intro Video . This short, self-recorded video is the final step that completes your application.
Instead of repeating yourself across multiple screening calls, you’ll introduce yourself once, and your video will be shared with the hiring team. This allows hiring managers to evaluate your communication style early, making future interviews more meaningful while reducing unnecessary interview rounds.
Don’t overthink it—you can record your video as many times as you’d like before submitting it. Only your final submission will be reviewed. Please keep an eye on both your inbox and spam folder for your Spark Hire invitation.
If you’re passionate about financial modeling, strategic planning, and helping leadership make smarter business decisions through data-driven insights, we’d love to hear from you. Apply today and play a key role in shaping the company’s financial strategy and long-term growth.
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