POSITION SUMMARY:
Bridge33 Capital is a fast-growing and vertically integrated private equity firm focused on open-air strip retail.
We are seeking a Finance Manager, FP&A, to focus on financial planning, management reporting, and someone who develops ad hoc scenario/sensitivity analysis to support financially informed decision making.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
- Partner closely with senior leadership and cross-functional teams to guide financial decision-making, strengthen planning processes, and align financial goals with organizational strategy.
- Lead the development of annual operating budgets, quarterly forecasts, and long-range financial plans; consolidate business unit inputs and ensure accuracy, alignment, and accountability across the organization.
- Oversee monthly financial performance reviews, including variance analysis, KPI trends, and actionable insights to support operational efficiency and strategic initiatives.
- Build and enhance scalable financial models to assess business performance, forecast results, and support scenario planning, capital allocation, and strategic investments.
- Direct the preparation of management reporting packages, financial dashboards, and analytical commentary for executive stakeholders.
- Conduct market, competitive, and industry analyses to evaluate financial risks and opportunities, enabling well-supported strategic recommendations.
- Evaluate the financial viability of new projects, investments, and business opportunities; prepare ROI analyses and business cases to support leadership decisions.
- Assess and recommend financing strategies—including debt, equity, and alternative structures—to optimize capital efficiency and support long-term growth.
- Improve financial processes, reporting accuracy, and data integrity by leveraging automation tools such as Power Query, advanced Excel, and data transformation workflows.
- Apply strong critical thinking and analytical judgment to challenge assumptions, validate data, and ensure insights are reliable, objective, and impactful.
- Contribute to scaling FP&A capabilities within a high-growth environment.
- Complete other tasks and projects assigned by management.
Requirements
- Bachelor’s degree in finance, Accounting, Economics, or related field
- 10+ years of progressive experience in financial planning, financial analysis, or corporate finance
- Advanced Microsoft Excel skills, including complex formulas, data automation, and model development
- Strong understanding of core finance, accounting, and analytical principles
- Experience with Power Query, data mapping, and process automation
- Proficient in Microsoft Office applications including Word and PowerPoint
- Excellent verbal and written communication skills
- Highly organized, proactive team player with strong attention to detail
- Ability to work both independently and collaboratively in a dynamic, fast-paced environment
- Commercial real estate or real estate finance experience is a plus (not required)
WORKING REQUIREMENTS:
- Fully remote
- Fluent in English
- Will work 8:00 AM to 5:00 PM US Pacific Time (PST)