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Senior Analyst, Corporate Finance

Work from home Full-time role Hiring

Kaseya® is the leading provider of complete IT infrastructure and security management solutions for Managed Service Providers (MSPs) and internal IT organizations worldwide powered by AI. Kaseya’s best-in-breed technologies allow organizations to efficiently manage and secure IT to drive sustained business success. Kaseya has achieved sustained, strong double-digit growth over the past several years and is backed by Insight Venture Partners www.insightpartners.com), a leading global private equity firm investing in high-growth technology and software companies that drive transformative change in the industries they serve.

Founded in 2000, Kaseya currently serves customers in over 20 countries across a wide variety of industries and manages over 15 million endpoints worldwide. To learn more about our company and our award-winning solutions, go to www.Kaseya.com and for more information on Kaseya’s culture.

Kaseya is not your typical company. We are not afraid to tell you exactly who we are and our expectations. The thousands of people that succeed at Kaseya are prepared to go above and beyond for the betterment of our customers.

Job Title: Senior Analyst, Corporate FP&A

Location: Miami, FL (Remote)

Position Summary

We are hiring a Senior Analyst, Corporate FP&A to strengthen the company’s core financial planning and analysis capabilities across cash flow, integrated 3-statement modeling, and revenue-to-cash visibility. This role sits at the center of Corporate FP&A and is focused on improving how revenue, EBITDA, balance sheet activity, and cash flow connect into a cohesive and reliable financial model.

The role requires strong technical finance skills and a hands-on approach to building, troubleshooting, and enhancing complex financial models. The ideal candidate will have a strong analytical background and a desire to apply that rigor in an operating finance environment with high visibility to senior leadership.

Core focus areas include cash flow forecasting and liquidity, integrated 3-statement modeling, revenue and ARR linkage, and support for investor, lender, and executive reporting.

Key Responsibilities

  • Build, maintain, and improve cash flow forecasting models, including indirect cash flow and free cash flow bridges from EBITDA
  • Analyze key working capital drivers such as AR, AP, deferred revenue, accruals, and CapEx, and assess their impact on cash flow outcomes
  • Support and enhance the integrated 3-statement financial model (income statement, balance sheet, and cash flow statement) ensuring accuracy, consistency, and transparency
  • Translate operating assumptions into full financial statement impact and improve forecasting reliability across planning cycles
  • Strengthen linkage between ARR, billings, revenue recognition, and cash collections in collaboration with GTM Finance and Accounting
  • Develop variance analysis and management reporting across revenue, EBITDA, working capital, and cash flow with clear bridge commentary
  • Support monthly, quarterly, and annual planning cycles, including forecasting, budgeting, and long-range planning activities
  • Partner with Accounting to identify and resolve discrepancies between actual results and forecast assumptions
  • Assist in preparing board, investor, and lender materials, including cash flow narratives and performance drivers
  • Identify and drive improvements in modeling standards, structure, controls, and overall analytical rigor within FP&A

Required Qualifications

  • 2–4 years of experience in investment banking, transaction advisory, valuation, or highly analytical FP&A / corporate finance roles
  • Strong Excel and financial modeling skills, including solid understanding of 3-statement financial integration
  • Strong understanding of cash flow mechanics, working capital, and free cash flow drivers
  • Ability to analyze how revenue, billings, deferred revenue, and balance sheet movements impact cash and financial performance
  • High analytical rigor with comfort working through incomplete or evolving data sets
  • Strong written and verbal communication skills with the ability to simplify complex financial concepts
  • High attention to detail and ability to independently build and troubleshoot complex financial models

Preferred Qualifications

  • SaaS or subscription/recurring revenue experience (ARR, billings, deferred revenue, revenue recognition)
  • Background in investment banking or transaction advisory with interest in operating finance
  • Experience supporting executive, board, investor, or lender reporting
  • Familiarity with ERP/EPM systems and planning tools
  • Experience building or auditing complex financial models under tight deadlines

Join the Kaseya growth rocket ship and see how we are #ChangingLives !

Additional information Kaseya provides equal employment opportunity to all employees and applicants without regard to race, religion, age, ancestry, gender, sex, sexual orientation, national origin, citizenship status, physical or mental disability, veteran status, marital status, or any other characteristic protected by applicable law.

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