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Corporate Finance Manager

Havoc AI - Remote - Remote - posted 2026-09-17

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Havoc AI, founded in 2024 and headquartered in Providence, Rhode Island, is a leader in all-domain collaborative autonomy. The company develops software-defined hardware that powers military and commercial-grade autonomous systems across sea, air, and land, enabling assets to sense, decide, and act together in complex and contested environments. The Corporate Finance Manager will be a highly visible, hands-on individual contributor with exposure across FP&A, investor relations, corporate development, strategy, and business operations. This role offers the opportunity to evolve into team leadership as the company grows. Key responsibilities include: **Financial Planning & Analysis:** Manage and improve monthly, quarterly, annual, and long-range planning processes. Develop forecasts and financial models across revenue, operating expenses, cash flow, component costs, and capital structure. Analyze actual performance against plan, identify variance drivers, and develop actionable recommendations. Build recurring and ad hoc reporting on financial performance, operating metrics, and KPIs. Support implementation and development of FP&A systems and processes. **Strategic Finance & Business Partnership:** Partner with cross-functional teams to provide financial guidance on commercial opportunities, strategic initiatives, investments, and company-wide spending. Develop financial models and analyses to support strategic decision-making, including potential M&A and corporate development opportunities. Translate complex financial and operational information into clear insights for leadership. Develop high-quality analyses, presentations, and financial materials for executive audiences. Build deep understanding of the business, programs, cost structure, and key financial drivers. **Finance Operations:** Partner with Accounting on quarterly close and recurring finance processes. Improve financial processes, controls, reporting, and systems as the organization scales. Maintain high standards of accuracy and attention to detail across financial models, reporting, and executive deliverables. The ideal candidate combines strong finance and accounting fundamentals with sharp analytical thinking, exceptional attention to detail, and a bias toward action. You should be comfortable moving between long-term strategic analysis and fast-turn, executive-level requests while operating effectively in a dynamic environment. **Requirements:** - 5+ years of experience in corporate finance and FP&A, ideally within a fast-paced, high-growth technology company - Advanced financial modeling and business analysis skills - Strong finance and accounting fundamentals - Ability to analyze complex business problems, work with large amounts of information, and translate findings into actionable insights - Strong data visualization and executive communication skills - Demonstrated ability to collaborate effectively across an organization - Strong systems aptitude and ability to learn new financial and operational tools quickly - Exceptional attention to detail and commitment to accuracy - Ability to balance thoughtful analysis with the need to move quickly and drive decisions forward - Strong judgment and willingness to challenge assumptions, ask questions, and communicate recommendations effectively **Nice to Have:** - Experience at a startup or high-growth company - Experience implementing or administering financial planning and forecasting tools - Cost accounting experience or familiarity with manufacturing-oriented financial analysis - Experience with NetSuite, particularly supply chain or manufacturing-related functionality

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