SlipstreamJobsFresh Startup & VC-Backed Jobs

Senior Analyst, Corporate Finance

DailyPay - New York, NY, USA - Hybrid - posted 2026-09-29

Apply on the company site

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

DailyPay is the leader in On-Demand Pay, serving over 1,900 employers and 6 million employees. The company modernizes how people access earned pay and provides financial wellness tools. The Senior Analyst, Corporate Finance is a key individual contributor within the Strategic Finance team, bridging month-end financial execution with long-term strategic decision-making. You will lead core financial modeling, variance analyses, and budgeting processes to deliver timely, accurate, and actionable financial insights to executive leadership and stakeholders. Key Responsibilities: - Build, maintain, and enhance dynamic, scalable financial models in Excel and connected planning tools to support forecasting cycles - Partner with the Accounting team during month-end close to sync results and perform budget-vs-actual variance analysis - Support execution of monthly pacing, quarterly forecasts, Annual Operating Plans (AOP), and Long-Range Planning (LRP) models - Monitor key revenue and cost drivers across business units to deliver proactive variance analysis and strategic insights - Maintain data architecture, workflows, and data integrity within internal FP&A and financial reporting platforms - Prepare data-verified presentations and financial analysis for senior leadership, the Board of Directors, and external partners - Oversee cross-platform financial data reconciliation processes to ensure accuracy across internal and external reporting - Identify and implement ongoing improvements to financial workflows, automated reporting models, and cross-functional communication channels You will work in a hybrid arrangement (3 days on-site) at the NYC headquarters, partnering closely with Accounting, Operations, and Business Leadership to maintain financial integrity and optimize reporting workflows. Requirements: - 3–5+ years of progressive experience in FP&A, Corporate Finance, Strategic Finance, or closely related analytical discipline - Proven track record of designing, building, and maintaining complex, dynamic financial models in Excel or Google Sheets - Strong understanding of core accounting concepts, financial statements, and operational nuances of the monthly close process - Demonstrated ability to translate complex financial datasets into clear, executive-level summaries and actionable recommendations - Hands-on experience with modern FP&A planning tools (e.g., Anaplan, Pigment, Adaptive, Planful, Abacum) and BI software like Tableau - Bachelor's degree in Finance, Economics, Accounting, Business Administration, or related quantitative field

Similar roles