Votaw Precision Technologies
Financial Planning & Analysis Manager
Votaw Precision Technologies, Santa Fe Springs, California, United States, 90670
Job Type
Full-time
Description
Company Background & Summary
Votaw Precision Technologies is a trusted leader in the manufacturing of complex precision components, assemblies, and systems for the aerospace, defense, and industrial sectors. With a strong reputation for technical excellence, quality craftsmanship, and on-time delivery, Votaw supports some of the world's most demanding programs through its advanced manufacturing capabilities. The company specializes in precision machining, fabrication, welding, and complex assembly operations for mission-critical applications. Votaw Precision Technologies is committed to continuous improvement, innovation, and delivering best-in-class solutions to its customers.
We are seeking a growth-oriented, highly analytical and detail-oriented Financial Planning & Analysis Manager to join our growing team. The FP&A Manager will be a strategic partner to the CFO and executive team, driving financial insights, planning, and performance improvement across the organization. This role is ideal for someone who thrives in data-driven environments, enjoys cross-functional collaboration, and is passionate about continuous improvement.
Essential Functions
Lead the company's FP&A function, developing robust financial models, forecasting processes, and performance reporting frameworks, with a focus on continual improvement. Partner with the CFO and executive management team to develop long-term strategic plans, annual budgets, and quarterly forecasts. Provide insightful variance analysis and recommendations to drive informed decision making. Establish and track key performance indicators (KPIs) to measure financial and operational performance including building of complex financial models. Partner with the management team and operations to operational efficiency, margin improvement, and cash flow optimization. Prepare financial updates and reports for the leadership team and Board of Directors including monthly and quarterly financial reports for internal executive leadership and external lenders. Manage the annual budget process and interim forecasts, ensuring accuracy and alignment with strategic goals. Perform budget-to-actual reviews and identify discrepancies, addressing gaps in planning and reporting processes. Drive process improvements in financial planning and reporting Provide analysis and data for 13-week cash flow forecast. Assist with pricing structures and identify opportunities for improvement to maximize profitability. Conduct break-even analysis, sensitivity analysis, and margin analysis. Gain a thorough understanding of current and new customer contracts. Assess the impacts of contractual obligations on forecasting and overall company profitability. Provide ad-hoc financial analysis and insights to support management in decision-making, identifying trends, and suggesting process improvements. Support capital investment decisions and ROI evaluations Provide forward-looking financial analysis and insight to support operational decisions, strategic initiatives, and performance improvement across all departments. Provides due diligence as needed for potential mergers and acquisitions, including data collection and financial modeling. Requirements
Qualifications and Skills
Required:
5-10 years of progressive FP&A or corporate finance; high-growth environment experience a plus Proven ability to develop and implement sophisticated financial models, scenario analyses, and business intelligence tools. Strong understanding of financial statements, cash flow management, and operational metrics. Strong communicator, adaptable, curious, relationship building experience supporting M&A activities, including due diligence and post-merger integration. Advanced proficiency in Excel, PowerPoint, financial planning software, and ERP systems. The ability to identify issues, analyze and interpret data and develop solutions to a variety of moderately complex problems. Commendable knowledge for highlighting risks, and uncovering opportunities. Self-starter with the ability to pivot and successfully adapt in a constantly changing environment. Remote with up to 25% travel.
Preferred:
10. Bachelor's degree in Finance or Accounting; MBA preferred.
Your actual level and base salary will be determined on a case-by-case basis and may vary based on the following considerations: job-related knowledge, skills, education, and experience.
Votaw Precision Technologies, LLC is an Equal Opportunity Employer including Disability/Vets.
Salary Description
$125,000.00- $175,000.00
Full-time
Description
Company Background & Summary
Votaw Precision Technologies is a trusted leader in the manufacturing of complex precision components, assemblies, and systems for the aerospace, defense, and industrial sectors. With a strong reputation for technical excellence, quality craftsmanship, and on-time delivery, Votaw supports some of the world's most demanding programs through its advanced manufacturing capabilities. The company specializes in precision machining, fabrication, welding, and complex assembly operations for mission-critical applications. Votaw Precision Technologies is committed to continuous improvement, innovation, and delivering best-in-class solutions to its customers.
We are seeking a growth-oriented, highly analytical and detail-oriented Financial Planning & Analysis Manager to join our growing team. The FP&A Manager will be a strategic partner to the CFO and executive team, driving financial insights, planning, and performance improvement across the organization. This role is ideal for someone who thrives in data-driven environments, enjoys cross-functional collaboration, and is passionate about continuous improvement.
Essential Functions
Lead the company's FP&A function, developing robust financial models, forecasting processes, and performance reporting frameworks, with a focus on continual improvement. Partner with the CFO and executive management team to develop long-term strategic plans, annual budgets, and quarterly forecasts. Provide insightful variance analysis and recommendations to drive informed decision making. Establish and track key performance indicators (KPIs) to measure financial and operational performance including building of complex financial models. Partner with the management team and operations to operational efficiency, margin improvement, and cash flow optimization. Prepare financial updates and reports for the leadership team and Board of Directors including monthly and quarterly financial reports for internal executive leadership and external lenders. Manage the annual budget process and interim forecasts, ensuring accuracy and alignment with strategic goals. Perform budget-to-actual reviews and identify discrepancies, addressing gaps in planning and reporting processes. Drive process improvements in financial planning and reporting Provide analysis and data for 13-week cash flow forecast. Assist with pricing structures and identify opportunities for improvement to maximize profitability. Conduct break-even analysis, sensitivity analysis, and margin analysis. Gain a thorough understanding of current and new customer contracts. Assess the impacts of contractual obligations on forecasting and overall company profitability. Provide ad-hoc financial analysis and insights to support management in decision-making, identifying trends, and suggesting process improvements. Support capital investment decisions and ROI evaluations Provide forward-looking financial analysis and insight to support operational decisions, strategic initiatives, and performance improvement across all departments. Provides due diligence as needed for potential mergers and acquisitions, including data collection and financial modeling. Requirements
Qualifications and Skills
Required:
5-10 years of progressive FP&A or corporate finance; high-growth environment experience a plus Proven ability to develop and implement sophisticated financial models, scenario analyses, and business intelligence tools. Strong understanding of financial statements, cash flow management, and operational metrics. Strong communicator, adaptable, curious, relationship building experience supporting M&A activities, including due diligence and post-merger integration. Advanced proficiency in Excel, PowerPoint, financial planning software, and ERP systems. The ability to identify issues, analyze and interpret data and develop solutions to a variety of moderately complex problems. Commendable knowledge for highlighting risks, and uncovering opportunities. Self-starter with the ability to pivot and successfully adapt in a constantly changing environment. Remote with up to 25% travel.
Preferred:
10. Bachelor's degree in Finance or Accounting; MBA preferred.
Your actual level and base salary will be determined on a case-by-case basis and may vary based on the following considerations: job-related knowledge, skills, education, and experience.
Votaw Precision Technologies, LLC is an Equal Opportunity Employer including Disability/Vets.
Salary Description
$125,000.00- $175,000.00