Role Overview
We’re looking for a Senior FP&A professional to strengthen Loop’s financial planning, analysis, and decision-making as we scale. This role blends strategic thinking with strong execution—ideal for someone who enjoys working closely with business teams, building robust financial models, and translating numbers into meaningful insights.
You’ll partner with leadership and cross-functional teams to drive planning cycles, track performance, and support key business decisions—playing a critical role in shaping Loop’s financial health and growth trajectory.
What You’ll Do
Strategic Finance & FP&A
Lead and support annual budgeting, quarterly forecasting, and long-term financial planning
Build and manage planning cadences including monthly reviews, variance analysis, and cash flow tracking
Develop and maintain financial models to support business decisions and strategic initiatives
Analyze financial performance, identify trends, and provide actionable insights to leadership
Business Partnering & Decision Support
Partner with business teams to track performance against budgets and KPIs
Translate business initiatives into financial outcomes and provide data-backed recommendations
Assist in evaluating new business opportunities, investments, and cost optimization initiatives
Support pricing, unit economics, and margin improvement conversations
Reporting & Governance
Prepare monthly, quarterly, and annual financial reports along with detailed variance analysis
Support management reporting, dashboards, and investor/board presentations
Design and improve reporting frameworks to ensure clarity, accuracy, and alignment across teams
Continuously improve and streamline financial processes, reporting tools, and data accuracy
You’re a Great Fit If You
Have 3–5 years of experience in FP&A, financial analysis, or related roles
Hold a degree in Finance, Accounting, Economics, or a related field (MBA/CA/CFA preferred)
Have strong proficiency in Excel and financial modeling
Possess a solid understanding of financial statements (P&L, Balance Sheet, Cash Flow)
Are highly analytical with strong problem-solving and communication skills
Are comfortable working in a fast-paced environment and managing multiple priorities
Good to Have
Experience in a startup or high-growth environment
Familiarity with SQL, Power BI, or Tableau
Experience with financial planning tools (Anaplan, Adaptive, SAP, Oracle, etc.)
Exposure to fundraising, investor reporting, or strategic finance