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FP&A Manager

Medmo

Medmo

New York, NY, USA
USD 110k-130k / year
Posted on Oct 16, 2025

Medical imaging is a fundamental piece of healthcare; from prevention to diagnosis and treatment, imaging is a key entry point into a more critical patient journey. Each year, hundreds of millions of tests are prescribed, yet the way imaging is facilitated in America is fundamentally broken. Patients often wait longer, pay more, and struggle to retrieve records of their imaging, which ultimately leads to worsened outcomes and negative experiences.

Medmo is changing the medical imaging industry by improving the way that radiology referrals are facilitated. By creating the connective tissue between top imaging centers and providers, we ensure our patients receive affordable, high-quality care while our imaging partners improve the efficiency of their centers. Medmo is a VC-backed healthcare technology company that is growing quickly in a fast-paced environment.

Job Description: As our FP&A Manager, you will lead and execute core finance processes, including budgeting, forecasting, financial modeling, and leading the monthly accounting close process. You’ll bring together SQL and excel modeling skills to provide strategic insights to leadership across the company - including the CEO and Chief of Staff. You will also manage one part-time bookkeeper and be the primary point of contact for reporting requests from investors and the board of directors. This is a hugely impactful role with high visibility across the business and an opportunity to architect and build the foundations of our FP&A team.

Key Responsibilities:

  • Forecasting and Budgeting:
  • Own and manage company-wide financial models
  • Implement a monthly forecasting process
  • Prepare materials to present the forecast and budget to the CEO and Chief of Staff
  • Prepare investor decks and materials for the board of directors
  • Accounting & Close
  • Complete the monthly accounting close process
  • Complete end-to-end cash management, including AR/AP, payroll, and managing all balance sheet reconciliations
  • Manage one part-time bookkeeper
  • Data & Financial Analysis
  • Use SQL to pull and analyze operational data to inform strategic insights
  • Build dashboards and ad hoc reports to support executive decision-making
  • Develop and report on company KPIs to senior leadership
  • Strategic Initiatives
  • Support the leadership team across a wide range of strategic initiatives
  • Key player in financing events and strategic investments

Qualifications:

  • 4–7 years of experience in FP&A, corporate finance, investment banking, or consulting
  • Advanced Excel skillset required
  • SQL experience required - ability to self-serve data and analyze trends
  • Familiarity with accounting principles and monthly close processes required
  • Quickbooks or similar accounting software experience preferred
  • Excellent attention to detail with the ability to move quickly and operate in ambiguity
  • Experience at a startup, especially in healthcare or tech-enabled services, is a plus
  • Excellent communication and collaboration skills

Must be based in NYC with the ability to work in an office 1 to 3 days a week

Salary Range: $110,000 - $130,000