Senior Financial Associate, FP&A
Listed on 2026-03-07
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Finance & Banking
Financial Manager, Corporate Finance
Description
CSC Leasing is a $1.3 billion equipment financing company purpose-built for the innovation economy. We partner with venture capital and private equity-backed companies across capital-intensive industries—from advanced manufacturing and life sciences to aerospace and industrial automation—providing the flexible financing solutions that high-growth companies need to scale without diluting their equity.
Unlike traditional lenders who shy away from emerging technologies and pre-profitability businesses, we lean in, underwriting the future by combining deep sector expertise with a venture-informed credit philosophy. Our team operates at the intersection of finance and innovation, evaluating leading-edge technologies and bold business models every single day.
If you thrive on intellectual curiosity, want a front-row seat to the companies reshaping entire industries, and believe that smart capital can be a catalyst for transformational change, CSC is where you belong.
The Role:
CSC Leasing is entering a new phase of financial sophistication and operational scale. With over $1.3 billion in assets under management, we are modernizing our financial planning, reporting architecture, and analytics capabilities to support a fast-growing, capital-intensive business.
We are seeking a highly analytical and systems-savvy finance professional to help elevate and transform our FP&A function. This role blends advanced financial modeling, structured finance exposure, data analytics, ERP integration, and executive-level reporting.
As we continue to scale, we are investing in modern financial capabilities and building a best-in-class Finance function that blends analytical rigor, operational excellence, and innovative thinking.
Key Responsibilities:
Financial Planning, Modeling & Strategic Forecasting
- Develop and maintain enhancement of CSC’s integrated three-statement financial model, including long-term projections aligned with growth strategy.
- Own and continuously refine forecasting processes (monthly, quarterly, annual, and long-range).
- Conduct scenario planning and sensitivity analyses to evaluate growth pacing, capital allocation, and liquidity impact.
- Monitor and model bank covenant compliance and headroom, proactively identifying potential risks and mitigation strategies.
- Support capital structure planning and funding analysis in partnership with the CFO and Treasurer.
Structured Finance & Transaction Support
- Support structured finance, leveraged finance, and ABS/securitization-related analyses.
- Assist in preparation of financial materials for banking partners and funding vehicles.
- Evaluate transaction impacts on liquidity, leverage, and long-term financial health.
Executive Financial Reporting
- Produce and deliver monthly financial reporting packages (P&L, Balance Sheet, Cash Flow Statement) for the CEO, President, and CFO.
- Develop standardized reporting formats that translate financial data into clear, decision-ready insight for senior leadership and the Advisory Board.
- Partner with Accounting to ensure data integrity and alignment between general ledger output and FP&A reporting.
- Own the monthly reporting calendar and drive accountability for deliverables across contributing functions.
Reserves, Provisions & Portfolio Analytics
- Support analysis and modeling of residual value reserves, credit loss provisions (CECL), and cash reserve requirements.
- Analyze portfolio performance metrics including yield, delinquency, charge-offs, and residual realization rates.
- Translate portfolio trends and financial health indicators into concise reporting for leadership and banking relationships.
Budgeting, Expense Management & Growth Discipline
- Strengthen company-wide budgeting processes and enhance expense management visibility.
- Analyze cost drivers and operating leverage to support disciplined scaling.
- Develop forward-looking tools to ensure growth is paced appropriately relative to capital and liquidity.
- Partner with department leaders to improve financial accountability and performance management.
Reporting Modernization & Systems Enablement
- Partner with Accounting and Technology to align ERP reporting with FP&A models and leadership…
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