We're a growing insurance organization with a focus on data-driven decision-making, strategic planning, and operational efficiency. As our business expands, we're seeking an FP&A Analyst to join our Finance team and contribute to critical forecasting, budgeting, and performance initiatives.
This is a great opportunity for someone with a foundation in FP&A or financial analysis who's looking to build deeper experience in a remote-first, collaborative environment.
Key Responsibilities
Contribute to monthly and quarterly financial reporting, forecasting, and variance analysis.
Support the annual budgeting process, working with business unit leads to gather inputs and ensure alignment with strategic goals.
Assist in maintaining financial models to support planning and decision-making.
Prepare reports, dashboards, and data visualizations for internal stakeholders.
Perform ad hoc financial analysis to support new initiatives, investments, and performance tracking.
Partner with teams across finance, underwriting, and operations to gather and analyze key business metrics.
Qualifications
1-3 years of experience in FP&A, financial analysis, or corporate finance-preferably in insurance or financial services.
Bachelor's degree in Finance, Accounting, Economics, or related discipline.
Strong Excel skills required; experience with financial planning software (e.g., Adaptive, Anaplan, Workday, NetSuite) is a plus.
Solid understanding of financial statements and forecasting concepts.
Excellent analytical skills and strong attention to detail.
Self-motivated, collaborative, and comfortable working in a fully remote environment.
Why Join Us?
100% remote - work from anywhere in the U.S.
Competitive base salary and performance-based bonus
Full benefits package (health, dental, 401(k), PTO, etc.)
Supportive culture with opportunities for mentorship and long-term growth
Work on high-impact projects that influence strategic decisions
