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Stedi is a Series B-funded healthcare clearinghouse and RCM (Revenue Cycle Management) engine built on modern, API-first architecture. The company has raised $142M from top-tier investors including Stripe, Addition, USV, Bloomberg Beta, and First Round Capital, and was recently ranked by Ramp as one of the fastest-growing SaaS vendors.
You will join as an experienced FP&A professional to elevate business operations as Stedi scales. Reporting to the Head of Finance & Operations, you will work closely with the CEO and cross-functional leaders to build upon existing financial models, metrics, and systems.
Key responsibilities include:
- Own and continuously improve the company financial model (revenue, expenses, headcount, cash, long-range forecasting)
- Build metrics, models, and reporting infrastructure to understand business performance with high accuracy and traceability to source data
- Own annual planning and ongoing forecasting processes, developing assumptions that reflect actual business operations
- Develop reporting and analysis explaining performance against plan, including drivers of revenue growth, gross margin, operating expenses, and cash
- Partner with Accounting to digest monthly results, compare projections to actuals, and translate performance into management reporting and forecasts
- Build models to answer strategic questions across customer/product economics, pricing, gross margin, infrastructure costs, and growth scenarios
- Own headcount and spend planning, ensuring forecasts accurately reflect hiring plans and investments
- Develop and maintain cash and runway forecasts under various operating scenarios
- Automate financial data collection, reporting, and analysis using modern tools and AI
- Work directly with Head of Finance & Operations and CEO on financial analysis for major decisions and board discussions
The ideal candidate combines exceptional financial rigor with a builder's mindset. You should be comfortable tracing numbers to source data, designing models from scratch, and turning ambiguous business questions into rigorous analysis. You will move fast with precision, thrive in ambiguity, and relentlessly pursue understanding when something doesn't reconcile.
REQUIREMENTS:
- 4+ years of experience in FP&A, strategic finance, investment banking, private equity, consulting, or similarly rigorous analytical roles, including meaningful experience in a high-growth startup
- Exceptional financial modeling skills; ability to independently build models from raw inputs through decision-ready output
- Deep understanding of financial statements and operating metrics; ability to connect business mechanics to financial performance and accurate forecasts
- Highly technical for a finance professional; comfortable automating workflows, working with underlying data, and using modern tools and AI
- Ability to independently take ambiguous strategic questions, determine what matters, structure analysis, and develop rigorous answers
- Strong communication skills; ability to explain not only what changed but why, what matters, and key takeaways
- Thrive in ambiguity; create structure from chaos; design scalable processes and systems from scratch
- Relentless and resourceful; pursue understanding until reconciliation is complete
- Move fast and operate with precision in an environment where clarity, accountability, and urgency matter