Yanarchy

Financial Manager (FP and A) to $3000

About Yanarchy

Yanarchy is a Los Angeles–based talent management agency working with media creators and digital talents as scalable businesses. We focus on growth, monetization, and building long-term value by combining creativity with strong operational and financial discipline.

Yanarchy is not just an agency — we are building a future ecosystem of services and monetization tools, developed as independent projects based on our expertise.

 

The Role

We are looking for a Financial Manager (FP&A) to strengthen our financial planning and decision-making processes.

In this role, you will own management reporting, budgeting, and forecasting, and turn financial data into clear, actionable insights for leadership. You will work closely with accounting, operations, and business leads, helping the company understand performance drivers, manage risks, and make informed strategic decisions.

This role is ideal for someone who enjoys working hands-on with numbers, building models, and explaining financial outcomes in a simple, business-oriented way.

 

You will

Financial Reporting & Management Accounts

  • Prepare monthly management accounts (P&L, cash flow, key metrics).
  • Support the monthly close process in collaboration with accounting.
  • Ensure accuracy, consistency, and transparency of financial data.
     

Budgeting, Forecasting & Modeling

  • Build and maintain financial models (unit economics, profitability, ROI, sensitivity analysis).
  • Prepare annual budgets, forecasts, and rolling forecasts, updating them based on actuals and assumptions.
  • Lead scenario planning (best / base / worst case) to support strategic decisions and risk management.
     

Analysis & Business Insights

  • Create and continuously improve financial reporting packs for leadership.
  • Perform variance analysis vs budget and forecast, identifying trends and key drivers.
  • Track and analyze core business KPIs, translating numbers into actionable recommendations.
  • Support ad-hoc financial analysis for new initiatives, launches, or strategic projects.
     

Process Improvement

  • Improve finance processes, templates, and data quality.
  • Standardize reporting and automate recurring reports where possible.
  • Contribute to building scalable FP&A practices as the company grows.
     

     

Requirements

  • 3+ years of experience in FP&A, finance, or controlling (startup or fast-growing environment is a strong plus).
  • Strong hands-on experience with budgeting, forecasting, and financial modeling.
  • Confidence in variance analysis and explaining results to non-finance stakeholders.
  • Advanced Google Sheets / Excel skills (pivot tables, complex formulas; dashboards are a plus).
  • English level B1+ (written and spoken) for work in an international environment.
  • High attention to detail, structured thinking, and a strong ownership mindset.
  • Ability to work independently and manage multiple priorities in parallel.
     

Nice to Have

  • Experience with Causal or similar FP&A / planning tools.
  • Experience working with US- or EU-based companies.
  • Experience with BI tools (Looker, Power BI, or equivalents).
     

     

What we offer

  • Fully remote work in a fast-growing, international team.
  • Competitive compensation with room for growth.
  • Paid vacation, sick leave, and personal days off.
  • Fast feedback loop and minimal bureaucracy.
  • High level of ownership and direct impact on business decisions.
  • Opportunity to build and scale FP&A processes in a growing company.

Required skills experience

Budget Planning & Control 3 years
Forecasting & Finance 3 years
Financial Modeling 3 years
Financial Reporting/Forecasting 3 years

Required languages

English B1 - Intermediate
Ukrainian Native
Published 19 January
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7 applications
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