About the Role
Stakeholders VR is a PE-backed roll-up of vacation rental property management companies (PMCs) operating across the United States, managing several thousand short-term rental units. The finance team sits within Mission Control, overseeing all PMCs, and is being built from the ground up post-close.
We're hiring an FP&A Senior Analyst to join that team, reporting to the VP, FP&A. This is a hybrid FP&A / Treasury seat - roughly 60% FP&A, 40% Treasury, but the split moves with the calendar. The infrastructure doesn't fully exist yet, and you'll have a direct hand in building it.
What You'll Own
FP&A You'll build and maintain monthly actuals vs. budget vs. forecast reporting across all PMCs and market segments. You'll own the Weekly Flash Report at the unit, PMC, and market level - including variance commentary that goes to the CEO, CFO, and PE sponsor. You'll support the annual budget and quarterly re-forecast cycle, including the Mission Control budget itself.
Treasury You'll maintain the rolling 13-week cash flow forecast across the consolidated entity and PMC subsidiaries. You'll handle cash positioning across the banking footprint, support the migration to a single consolidated banking platform, and own BAI2 / H2H bank reporting automation and exception monitoring. KYC, signer maintenance, and bank account opening/closing workflows sit with you.
Infrastructure and Tooling You'll help develop the post-close FP&A infrastructure using AI tools, with outputs in Snowflake, Python, and dbt. You'll leverage AI throughout your workflow to improve productivity and accuracy - this is a team that intentionally hires people comfortable with both finance and tooling.
What We're Looking For
Must-haves
- Bachelor's degree in Finance, Economics, Accounting, Mathematics, Statistics, Computer Science, Engineering, or a related analytical discipline
- 2-6 years of professional experience in FP&A, corporate finance, investment banking, transaction services, consulting, treasury, or a similarly analytical seat
- Comfortable working primarily in Excel, with genuine interest in leveraging AI tools like Claude, Gemini, and ChatGPT
- Demonstrated quantitative reasoning - prior work product, models, or analyses we can look at and discuss
- Clear written communication - you'll write commentary that goes to the CEO, CFO, and PE sponsor
Preferred
- Python (pandas, openpyxl) or SQL exposure - coursework, personal projects, or prior on-the-job use
- Familiarity with any of: dbt, Snowflake, Power Query
- Exposure to financial statements, GAAP accounting, or EBITDA bridge / variance work
- Prior PE-backed, multi-entity, or roll-up experience
- Treasury or 13-week cash flow forecasting experience
Why Join Us
The work involves real modeling - multi-entity consolidation, scenario analysis, sensitivity, EBITDA bridges - and real automation through Python, SQL against the data warehouse, and building reporting pipelines. It's a clean greenfield environment, post-close, with FP&A and Treasury being built now, not maintained.
You'll see how a PE-backed platform actually gets operated: integration, M&A, working capital, debt covenants, and liquidity management. The team you're joining is small and intentionally hires for the intersection of finance and tooling - the kind of people who get energy from both sides.
Travel
This role is fully remote, with periodic in-person working sessions at central locations. Travel is covered.
