Ghost
Ghost2mo ago

Senior Manager, Financial Planning & Analysis

United StatesUnited States·Los Angelessenior
OtherFinancial Planning & Analysis
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Quick Summary

Key Responsibilities

draw management, covenant tracking,

Technical Tools
OtherFinancial Planning & Analysis

Ghost is an inventory distribution platform and operating system for modern retail trade. We partner with the world’s best brands to help them understand the true value of their inventory and route it to the right destinations globally. Ghost gives brands precise control over where and how their inventory is sold. Backed by top venture firms including L Catterton, Cathay Innovation, Union Square Ventures, Equal Ventures, and Eniac. Ghost has offices in Los Angeles and New York.

About the Role

~1 min read

We’re looking for a Senior Manager of Financial Planning & Analysis to be a strategic finance partner to our business. Reporting directly to the CFO, this is a hands-on role that owns the operating model, rolling forecasts, daily cash flow forecasting, and financial reporting and variance analysis, while supporting our capital markets needs.

You bring strong analytical rigor, sound business judgment, and experience across capital markets and hands-on operating environments. You’ll partner closely with leaders across Engineering, Product & Design (EPD), Sales, Operations and the executive team to turn financial insight into business decisions. 

Responsibilities

~1 min read
  • Partner with finance leadership on annual budgeting, long-range planning, and rolling forecasts, driving cross-functional collaboration with Sales, Ops, and EPD
  • Own monthly financial reporting, variance analysis, and operational reviews with leadership
  • Own the bottoms-up 3-statement operating model with driver-based assumptions and scenario planning
  • Build and deliver executive and board-level reporting packages
  • Support Series D fundraising, including investor materials and process management
  • Manage Ghost’s debt capital stack which includes PO financing facility, A/R financing facility, and term loan: draw management, covenant tracking, and reporting compliance
  • Maintain the rolling 13-week cash flow forecast; monitor covenant headroom against the cash floor weekly and escalate liquidity risks proactively to the CFO
  • Lead financial due diligence for investors, lenders, and strategic partners
  • Build forecasting models and automated workflows that generate variance commentary, reporting narratives, and dashboards
  • Help design a company-wide KPI framework with automated monitoring and alerting, built on a single, trusted source of data
  • Bring rigor, transparency, and sound judgment to financial decision-making in a fast-moving environment
  • Partner with the CEO, CFO, and Board on strategic planning, capital allocation, and corporate development
  • Support capital allocation analyses, strategic partnership opportunities, GTM strategies, and other business initiatives

Requirements

~1 min read
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field required; MBA or CFA preferred
  • 5+ years of finance experience, including a minimum of 3 years at a bulge bracket investment bank with capital markets execution experience (or equivalent)
  • 2+ years of FP&A experience at a Series B or later-stage retail or CPG company preferred
  • Experience supporting Series C+ equity raises and managing debt facilities, working capital financing, and treasury operations preferred
  • Proficiency in Excel financial modeling, with hands-on experience in NetSuite or Rillet
  • Experience with 3-statement modeling, scenario analysis, and driver-based financial frameworks
  • CPG or retail industry experience a plus
  • Highly analytical and detail-oriented, with the ability to prioritize and move quickly
  • Takes ownership of outcomes and collaborates well across teams
  • Curious and driven, with a bias toward action and a track record of delivering results

This role will be based in our LA office. Our total compensation for this position can range from $150,000 - 175,000 base salary + bonus + equity. The actual amounts may vary based on factors such as experience, knowledge, skills, and abilities related to the position.

What We Offer

~1 min read
Medical, Vision, and Dental with some plans covered at 100%
Competitive compensation and equity structure
401K
Unlimited PTO

Location & Eligibility

Where is the job
Los Angeles, United States
On-site at the office
Who can apply
US

Listing Details

Posted
June 2, 2026
First seen
June 2, 2026
Last seen
August 5, 2026

Posting Health

Days active
30
Repost count
0
Trust Level
23%
Scored at
July 3, 2026

Signal breakdown

freshnesssource trustcontent trustemployer trust
Ghost
Ghost
greenhouse
Employees
5
Founded
2013
View company profile
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GhostSenior Manager, Financial Planning & Analysis