About the role:
In this role, you will partner with business leaders across the G&A organization to achieve corporate financial goals. You will perform quantitative and qualitative analysis to inform strategic decisions, and be responsible for annual planning and reporting. You partner with cross-functional finance teams to achieve quarterly Free Cash Flow cash targets. The ideal candidate is highly self-motivated, analytical, and thrives in a fast-paced environment.
This role is open to candidates residing in Canada.
You should apply if:
- You want to impact the industries that run our world: Your efforts will result in real-world impact—helping to keep the lights on, get food into grocery stores, reduce emissions, and most importantly, ensure workers return home safely.
- You are the architect of your own career: If you put in the work, this role won’t be your last at Samsara. We set up our employees for success and have built a culture that encourages rapid career development, countless opportunities to experiment and master your craft in a hyper growth environment.
- You’re energized by our opportunity: The vision we have to digitize large sectors of the global economy requires your full focus and best efforts to bring forth creative, ambitious ideas for our customers.
- You want to be with the best: At Samsara, we win together, celebrate together and support each other. You will be surrounded by a high-calibre team that will encourage you to do your best.
In this role, you will:
- Be a Finance business partner to the G&A organization, which includes budget management, forecasting, and headcount planning, to help make strategic decisions
- Build scalable processes and mechanisms to enhance financial visibility, control, and planning effectiveness by collaborating with accounting and business organizations
- Partner with A/P, A/R, and Treasury to manage cash flows and build scalable processes to increase cash reporting efficiency and effectiveness
- Champion, role model, and embed Samsara’s cultural principles (Focus on Customer Success, Build for the Long Term, Adopt a Growth Mindset, Be Inclusive, Win as a Team) as we scale globally and across new offices
Minimum requirements for the role:
- 4+ years of experience in Corporate Finance/Big 4 Accounting
- Undergraduate degree in Finance, Accounting, Business Administration, or a related field
- Strong accounting knowledge with experience working closely with accounting teams
- Proven experience in financial modeling, forecasting, and budgeting through Microsoft Excel or Google Sheet
- Strong communication and presentation skills; comfortable presenting to senior management
An ideal candidate also has:
- Prior experience using NetSuite, Workday, Salesforce, Adaptive Planning and Tableau is a plus
- Knowledge and understanding of GAAP and non-GAAP cash flow and cash metrics