FP&A Manager

08 Oct 2026
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We are hiring a Manager of Corporate FP&A, with a focus on G&A and Cash Flow Reporting to join our Finance team at our headquarters in either Denver, CO or Chicago, IL. This role is responsible for managing the monthly, quarterly, and annual Corporate G&A financial processes, including reporting, variance analysis, forecasting, cash flow reporting, and process improvements. A key focus will be supporting accurate cash flow forecasts and reporting across corporate functions.This position will coordinate the annual budget and reforecast processes, including administrative expenses and cash flow projections across departments. The role requires strong financial modeling and communication skills, attention to detail, and the ability to partner effectively with business leaders, internal stakeholders, and Blackstone.The ideal candidate is a collaborative, hands-on manager who can organize complex work, strengthen processes, translate financial data into practical insights, and support the development of team members.What You Will Do:The Manager will manage financial planning and analysis for Corporate G&A and cash flow reporting, delivering accurate, timely insights on performance across monthly, quarterly, and annual cycles. This role will lead G&A forecasting and planning, coordinate the G&A review process, and partner with key stakeholders on variance analysis, cash flow projections, and the identification of key risks and opportunities.Key Responsibilities:· Lead cross-functional Corporate G&A forecasting and planning, including preparation and review of the annual budget and rolling and semi-annual reforecasts; partner with key stakeholders to analyze deviations and prepare clear explanations and recommended actions for senior leadership and Blackstone.· Track and report integration savings and support the identification and evaluation of additional savings opportunities.· Manage monthly, quarterly, and annual cash flow reporting and forecasting, including analysis of actual results against projections and clear explanations of key drivers, variances, risks, and opportunities.· Prepare and maintain enterprise-level financial and cash flow reporting and analytics, ensuring monthly, quarterly, and annual deliverables are accurate,consistent, and useful to leadership and key stakeholders; help establish and document new post-integration processes.· Prepare property- and fund-level reporting and analysis for budgets, reforecasts, cash flow projections, and actual results.· Build effective partnerships with business and finance leaders, providing analysis and recommendations that support sound decisions and improved performance.· Partner with Finance Systems, IT, and business stakeholders to plan for future system implementations and enhance and optimize FP&A and cash flow reporting tools, improving automation, data integrity, scalability, and reporting efficiency.· Support process design and lead continuous improvement through standardization, documentation, cross-training, and day-to-day coaching and development of team members.Keys to Success:· Executes Brilliantly: Acts with urgency, takes ownership, and delivers accurate, high-quality work on time without sacrificing quality.· Detail Oriented: Produces accurate work, maintains strong controls, and identifies potential errors or inconsistencies.· Agile: Remains nimble and flexible, adapts plans quickly as conditions shift, and stays solution-focused and resilient through change.· Team Focused: Collaborates across functions and coaches, develops, and supports team members.· Champion of Change and Innovation: Adapts to change, supports new ideas, and continuously looks for ways to improve how work gets done.

  • ID: #55360198
  • State: Colorado Denver 80221 Denver USA
  • City: Denver
  • Salary: USD TBD TBD
  • Job type: Full-time
  • Showed: 2026-10-08
  • Deadline: 2026-12-07
  • Category: Et cetera
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