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Senior FPA Analyst (Financial Planning and Analysis)

Summary

Build and own FP&A processes for a US-based hedge-fund tech provider: cash forecasting, budgeting, and financial modeling to drive data-driven decisions as the company scales.

We are looking for our first-hire FP&A professional to join the finance team and work directly with the CFO to build and shape FP&A processes from the ground up. In this role you’ll be able to make a strategic impact and take ownership of cash forecasting, budgeting, and financial modeling, providing insights across the P&L, balance sheet, and future-looking scenarios. Your work will directly support leadership in making smarter, data-driven decisions as Atlas scales.

Location/Type: Remote (Ukraine only)
Hours: 9 AM-6 PM EST (NY business hours)

COMPANY
Atlas Technica — the US-based IT company providing services in the hedge fund vertical. Founded in New York in 2016, and has rapidly grown all along the way. These days comprises 200+ engineers and 10+ established locations in US, UK, Ukraine, Hong Kong, and Singapore.

At Atlas Technica, we live by our core values — ownership, execution, growth, intelligence, and camaraderie. We foster a professional but friendly culture, and we invest in the professional and career development of our team members. If you enjoy building, thrive in dynamic environments, and want to make a real impact, we’d love to meet you.

Responsibilities:
Develop and maintain financial models to support budgeting, forecasting, and long-term planning.
Analyze financial data and provide insights to support strategic decision-making.
Prepare monthly, quarterly, and annual financial reports on time.
Collaborate with various departments to gather and analyze financial information.
Monitor key performance indicators (KPIs) and provide variance analysis.
Prepare ad hoc reports and presentations for senior management and stakeholders.
Ensure compliance with financial regulations and company policies.
Utilize NetSuite, Abacum, HubSpot and applicable systems for financial reporting and analysis.
Help maintain reporting hygiene (documentation, supporting schedules, reconciliations) that would hold up under buy-side/sell-side or auditor scrutiny.
Assist with financial due diligence requests, data room preparation, and ad hoc analyses requested by investors, bankers, or auditors as they arise.
All other tasks and duties assigned by the supervisor.

Requirements:
Minimum of 7 years of experience in financial planning and analysis.
Excellent English, both written and spoken, to collaborate with the US-based team.
Proven track record in building and maintaining financial models (e.g., P&L, Cash Flow, Balance Sheet projections).
Strong experience in budgeting, forecasting, and analyzing key performance indicators (KPIs).
Strong analytical and problem-solving skills.
Excellent communication and presentation skills.
Ability to work independently and collaboratively within a team.
Comfortable working across multiple entities/currencies and reconciling data from disparate sources.
Proficient in MS Office, particularly Excel, Outlook, Word, and AI.

Preferred Qualifications
Experience in a fast-paced, high-growth environment.
Knowledge of additional financial software and tools (NetSuite, QuickBooks Online).

We offer:
Direct long-term contract in a US-based tech company
Full-time remote role aligned with EST
B2B set-up via SP (ФОП in $USD)
Annual salary reviews and performance-based bonuses
Professional, collaborative environment with ability to influence strategic decisions
Direct collaboration with the senior international team
Opportunities for growth within a scaling global organization

See also