Manager of Finance, Planning & Analysis at Tradewind Aviation LLC
Middlebury, Connecticut, United States -
Full Time


Start Date

Immediate

Expiry Date

01 Oct, 26

Salary

0.0

Posted On

03 Jul, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Analysis, Budgeting, Forecasting, Financial Modeling, KPI Reporting, Variance Analysis, Strategic Decision-Making, Stakeholder Influence, Cross-functional Collaboration, Excel, PowerPoint, SQL, Sage Intacct, Corporate Finance, Problem Solving, Communication

Industry

Airlines and Aviation

Description
Description About Tradewind: Tradewind Aviation is a leading Part 135 commuter and on-demand private charter operator with operational bases at the Waterbury/Oxford, CT (OXC), Westchester, NY (HPN), Stuart, FL (SUA) and San Juan, PR (SJU) airports. Founded by aviation enthusiasts in 2001 on the premise that all flights deserve the highest quality aircraft, crew, and service, Tradewind provides personal air travel—both private and scheduled service—throughout North America and the Caribbean. For more details visit www.flytradewind.com ABOUT THE CANDIDATE / ROLE Tradewind Aviation is currently seeking a Manager of FP&A to join a dynamic Finance team in our Middlebury, Connecticut Corporate office. The Manager of Finance plays a key role in supporting the company's financial planning, reporting, analytics, and strategic decision-making processes. This position is responsible for analyzing financial statements and reports, budgeting and forecasting activities, delivering actionable financial insights, managing key performance reporting, and partnering with business leaders to understand and improve profitability and operational efficiency. The ideal candidate combines strong financial analysis capabilities with excellent business partnership skills. ESSENTIAL FUNCTIONS Assess business performance through detailed financial analysis Identify, investigate, and explain variances, trends, and performance drivers across revenue, expenses, and profitability. Prepare monthly departmental budget-to-actual variance analysis packages. Report financial results regularly; Own the cadence of reporting and routine meetings to discuss Lead the preparation of executive reporting presentations Manage monthly KPI reporting Provide recommendations based on cost drivers, operational performance, and emerging business trends. Partner with functional leaders to develop annual operating budgets. Facilitate budget discussions, challenge assumptions, and ensure alignment with organizational objectives. Drive continuous improvement of reporting processes and management information. Requirements REQUIRED QUALIFICATIONS Bachelor’s degree in Finance, Accounting, or related field (MBA/CPA preferred) 5+ years of progressive experience in corporate finance or FP&A Strong analytical and problem-solving skills with attention to detail Proficiency in financial modeling Advanced proficiency in Excel, PowerPoint, and Word ERP Experience (Sage Intacct experience a plus) Data query experience using SQL, and other statistical analytics tools is a plus Excellent communication skills with the ability to influence stakeholders Demonstrated ability to build cross functional relationships and influence teams Highly motivated in areas of troubleshooting and problem solving Highly organized and self-starter, deep attention to detail Able to work both individually and as a team PHYSICAL REQUIREMENTS Ability to communicate effectively on the phone and in meetings (in person or virtual) Ability to use to operate a computer keyboard, mouse, and standard office equipment Tradewind Aviation offers a competitive pay and benefits program for full-time team members: Comprehensive health and voluntary insurance plans Retirement plan with company match Paid time off Standby travel on select Tradewind Aviation scheduled flights Discounted standby travel benefits on numerous major and regional US and international airlines A rewarding career path with opportunities for growth and advancement throughout the organization
Responsibilities
The Manager of FP&A is responsible for financial planning, budgeting, and forecasting to support strategic decision-making. This role involves analyzing financial statements, managing KPI reporting, and partnering with business leaders to improve operational efficiency and profitability.
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