C
Not Specified Permanent

Los Angeles, California · USA job

Strategic Finance Manager

Circle

Los Angeles, California

Job description

Overview

In this Strategic Finance Manager role, you will shape Circle's financial strategy for priority growth initiatives, including partnerships, monetization, M&A, and new products. You'll deliver executive-facing analyses, model development, and actionable recommendations to guide capital allocation and strategic decisions. You'll work cross-functionally with Product, Finance, Corporate Development, Legal, and leadership to translate data into impact. The role suits a high-growth, high-intensity environment with exposure to AI-enabled analysis and scalable financial planning.

Compensation / Benefits
  • flexible work environment
  • remote work (as indicated by )
  • competitive base pay
  • inclusion and equal opportunity employer
  • opportunity to impact core business decisions
  • global fintech platform exposure
Responsibilities
  • Lead complex financial modeling for strategic priorities such as partnerships, product launches, M&A, and growth initiatives
  • Develop product-level revenue models including transaction, subscription, and services revenue, unit economics, and scenario forecasting
  • Evaluate monetization models, partnership structures, pricing constructs, margin tradeoffs, and capital allocation with cross-functional leaders
  • Build investment-grade models to support executive decisions (revenue, valuation, synergy cases, ROI)
  • Translate analyses into concise executive narratives for CFO/CCO reviews, board materials, and planning sessions
  • Identify drivers, risks, and tradeoffs across initiatives and make clear recommendations
  • Develop build/buy/partner evaluation frameworks including market sizing and return profiles
  • Collaborate with Accounting, Legal, Tax, Treasury, and Data to ensure models reflect reality and regulatory constraints
  • Leverage AI tools to speed, improve quality, and scale financial analysis; automate workflows and output creation
  • Create repeatable planning and reporting infrastructure for emerging revenue streams and scalable operations
  • Proactively identify gaps in reporting and modeling and implement practical improvements
Key requirements
  • 5-7 years of relevant experience including 2-4 years in investment banking and/or private equity plus 2+ years in strategic finance, corporate development, or FP&A at a fast-paced tech/fintech environment
  • Elite financial modeling skills with ability to build robust, executive-ready models across revenue, margins, M&A, and scenario planning
  • Strong commercial and strategic judgment with ability to influence decision-making
  • Excellent executive communication skills for concise narratives and board-ready materials
  • Proven ability to influence cross-functional stakeholders and drive alignment
  • Experience supporting strategic partnerships, product monetization, M&A, or high-priority growth initiatives
  • High ownership, comfort with ambiguity, and the ability to structure problems end-to-end
  • AI proficiency and curiosity with hands-on experience using AI tools for analysis and automation
  • Advanced Excel/Google Sheets modeling and strong Google Slides/PowerPoint skills
  • Bachelor's degree in finance, economics, accounting, mathematics, engineering, or a similar analytical field preferred
  • executive presence
  • strong communication
  • stakeholder management
  • advanced financial modeling (Excel/Sheets)
  • scenario analysis
  • valuation frameworks

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