About this role
Celonis is the global leader in Process Intelligence and the pioneer of Process Mining technology. As one of the world’s fastest-growing enterprise SaaS companies, we are changemakers pushing the boundaries of what’s possible. We invest heavily in advanced AI capabilities—specifically our Process Intelligence Graph—to turn data insights into immediate business action. We believe there is a massive opportunity to unlock global productivity and sustainability by placing intelligence at the core of every business process. Join our mission to make processes work for people, companies, and the planet.
The Work You'll Do
Financial Planning & Forecasting:
• Drive the annual budgeting and planning process in collaboration with department heads.
• Develop and maintain detailed financial models for revenue forecasting, expense budgeting, and cash flow analysis.
• Prepare rolling forecasts and update projections based on actual performance and changing business dynamics.
• Conduct scenario and sensitivity analyses to assess the impact of potential business decisions.
Management Reporting & Analysis:
• Prepare comprehensive monthly, quarterly, and annual financial reports for senior management and stakeholders.
• Analyze financial results to identify trends, variances, and opportunities for improvement.
• Develop and monitor key performance indicators (KPIs) and operational metrics to evaluate business performance.
• Present financial insights and recommendations to executive leadership to inform strategic decision-making.
Strategic Business Partnering:
• Collaborate with cross-functional teams to provide financial guidance on initiatives, product launches, and market expansions.
• Support strategic projects such as mergers and acquisitions, partnerships, and capital investments with financial analysis and due diligence.
• Participate in the development of pricing strategies and assess their financial implications.
Process Improvement & Systems Enhancement:
• Identify opportunities to streamline FP&A processes and implement best practices.
• Enhance financial systems and tools to improve data accuracy and reporting efficiency.
• Ensure compliance with accounting principles and internal financial policies.
Cash Flow & Capital Management:
• Monitor cash flow projections and manage working capital requirements.
• Analyze funding needs and assist in capital raising activities as needed.
• Evaluate investment opportunities and their alignment with company financial goals.
Risk Management & Compliance:
• Assess financial risks and develop mitigation strategies.
• Ensure adherence to regulatory requirements and assist with internal and external audits.
• Maintain up-to-date knowledge of industry trends, accounting standards, and regulatory changes.
The Qualifications You'll Need
Education:
• Bachelor's degree in Finance, Accounting, Economics, or a related field.
• MBA and/or CFA certification is a plu