Decisions is a fast-growing, private-equity-backed technology company that provides an integrated workflow and rules platform for business process automation (BPA). Trusted by top Fortune 500 firms and SMBs worldwide, Decisions empowers diverse industries around the globe to streamline and improve their processes, enhancing efficiency and yielding results, regardless of technical expertise. This no-code automation platform seamlessly integrates AI tools, rules engines, and workflow management, enabling the transformation of customer experiences, modernization of legacy systems, and the achievement of automation goals three times faster than traditional software development.
Role Summary
The Head of FP&A, reporting to the CFO, owns the company’s financial planning, forecasting, and analytical processes. This role partners closely with executive and functional leaders to support strategic planning, drive data-informed decision-making, and ensure clear visibility into revenue, operating performance, and cash flow. The Head of FP&A leads long-range planning, revenue and expense forecasting, and executive-level financial reviews, translating complex financial data into actionable insights that guide company strategy.
Key Responsibilities
- Financial Planning, Forecasting & Modeling
- Own the company’s annual operating plan, rolling forecasts, and long-range financial models
- Lead and continuously evolve the end-to-end financial modeling framework, including revenue, bookings, headcount, and cash flow
- Serve as the primary owner of the revenue model, partnering closely with Sales, Marketing, and Professional Services to align forecasts with GTM execution
- Lead the monthly forecasting cadence, including bookings, revenue, and cash flow projections
- Prepare clear, decision-oriented variance analysis versus budget and forecast, highlighting risks, opportunities, and corrective actions
- Performance & Strategic Analysis
- Analyze trends in key SaaS performance metrics across revenue, gross margin, operating expenses, and cash flow
- Develop, monitor, and refine KPIs and dashboards; proactively deliver insights to the CEO, CFO, and executive leadership team
- Conduct ad hoc financial and operational analyses to support strategic decisions across pricing, GTM efficiency, capacity planning, and investment prioritization
- Support financial due diligence and strategic initiatives, including M&A, as required
- Cross-Functional Partnership & Operational Excellence
- Act as a trusted business partner to functional leaders, enabling data-driven decision-making
- Collaborate closely with Accounting to ensure alignment between forecasts, actuals, and reporting, and to improve data quality and processes
- Lead, mentor, and scale a high-performing FP&A team, establishing best practices, clear ownership, and strong analytical rigor
Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, or a related field required
- 5–8+ years of progressive experience in FP&A, Strategic Finance or Investment Banking
- Strong command of integrated financial modeling, including P&L, balance sheet, and cash flow forecasting in a SaaS business model
- Prior experience in SaaS or technology-enabled businesses strongly preferred, including familiarity with bookings, ARR, churn, and unit economics.
- Proven ability to operate in a fast-paced, growth-oriented environment with limited structure, exercising sound judgment and independent ownership.
- Exceptional analytical rigor and attention to detail, balanced with the ability to synthesize complex information into clear executive-level insights.