SlipstreamJobsFresh Startup & VC-Backed Jobs

Corporate FP&A Manager

Thumbtack - ON, Canada - Remote - posted 2026-09-17

Apply on the company site

SlipstreamJobs tracks this role from the company's public career site. Apply directly on the employer's site.

Salary: CAD 121,600 - 157,300 / annual

Thumbtack is a home services marketplace that helps millions of homeowners manage repairs, maintenance, and improvements by connecting them with local service professionals. The Finance team acts as a strategic partner to the business, owning resource allocation and financial decision-making. As Corporate FP&A Manager, you will own the consolidated P&L view for Thumbtack, including monthly and quarterly close processes, forecasting, variance analysis, and the narrative reporting that informs leadership and Board decisions. This is a high-scope individual contributor role with direct exposure to the CFO and Finance leadership. Key responsibilities: - Own the consolidated monthly and quarterly P&L close process, including forecasting, variance analysis, and executive narratives - Run the annual budgeting cycle end-to-end, from bottoms-up build through executive review - Build management and Board-level reporting, including Board decks, quarterly outlooks, and investor-facing analysis - Apply AI and workflow automation to core FP&A processes, replacing manual reporting and reconciliation with faster, more reliable systems - Collaborate across Business Finance, Strategic Finance, Accounting, and Business Analytics to maintain a consistent view of the numbers - Lead ad hoc analyses and scenario modeling for the CFO and leadership team on high-impact quarterly questions - Partner closely with Revenue Forecasting and serve as backup on revenue and funnel forecasts, including weekly outlooks and revenue flash reporting The role is part of a small, high-trust finance team actively rebuilding how finance work gets done. You will have unusually direct access to decisions that shape the company and the opportunity to lead the integration of AI into core FP&A workflows. REQUIREMENTS: - 7+ years of experience in FP&A, investment banking, private equity, or management consulting, with meaningful time in a corporate or consolidated finance function - Excellent financial modeling skills in Excel and Google Sheets, with judgment about model complexity - Demonstrated experience applying AI tools to real finance workflows, with a point of view on where they help and where they do not - Track record of building management and Board-level reporting, including written narratives - Strong written and verbal communication skills with experience presenting to senior executives - Hands-on experience with EPM and ERP systems such as Adaptive Insights, Anaplan, Pigment, Aleph, Oracle Planning & Business Systems, NetSuite, or SAP - Comfort querying data directly using SQL or equivalent to validate revenue forecasting and funnel inputs

Similar roles