COMMERCIAL FINANCIAL ANALYST
Charlotte, NC, US
For over a century Charlotte Pipe and Foundry Company has been manufacturing pipe and fittings exclusively in the USA, employing 1,400 loyal, hard-working Americans. Today we manufacture the industry's broadest range of standard and specialty DWV products, including cast iron and plastic pipe and fittings.
Charlotte Pipe is headquartered in Charlotte, NC, and has seven plant locations across the United States.
COMMERCIAL FINANCE ANALYST
FP&A | Sales Integration | Strategic Business Partner
We are seeking a Commercial Finance Analyst to join our CPF team — a high-visibility role designed for a finance professional who is equally comfortable with complex models and boardroom conversations. This position blends the analytical rigor of FP&A, the strategic perspective of a true business partner, and the communication skills of a financial storyteller.
The successful candidate will be deeply embedded with our sales organization — attending pipeline reviews, participating in pricing discussions, and translating field-level intelligence into financial forecasts and strategic recommendations for senior leadership. This is not a back-office reporting role; it is a front-line finance seat at the commercial table.
Position will be at our Admin Office in Charlotte, NC, and will report to our Coporate Controller. Periodic travel to sales locations as needed.
ABOUT THE ROLE
We are seeking a Commercial Finance Analyst to join our CPF team — a high-visibility role designed for a finance professional who is equally comfortable with complex models and boardroom conversations. This position blends the analytical rigor of FP&A, the strategic perspective of a true business partner, and the communication skills of a financial storyteller.
The successful candidate will be deeply embedded with our sales organization — attending pipeline reviews, participating in pricing discussions, and translating field-level intelligence into financial forecasts and strategic recommendations for senior leadership. This is not a back-office reporting role; it is a front-line finance seat at the commercial table.
KEY RESPONSIBILITIES
Sales Finance Partnership
- Serve as the primary finance partner to the sales organization — attend pipeline reviews, pricing calls, and commercial negotiations to provide real-time financial guidance.
- Analyze deal economics, margin structures, and customer profitability to support pricing decisions and contract negotiations.
- Develop and maintain sales performance dashboards tracking revenue attainment, pipeline conversion, win/loss trends, and quota coverage.
- Partner with sales leadership to translate market intelligence and pipeline data into financial outlooks and scenario analyses.
Forecasting & Budgeting
- Own the monthly and quarterly rolling revenue forecast, integrating pipeline data, booking trends, and macroeconomic inputs into a dynamic, driver-based model.
- Lead the annual budget process for the commercial segment — coordinating with sales, operations, and senior leadership to build a bottom-up, account-level revenue plan.
- Build and maintain sensitivity and scenario models (base / bull / bear) to frame revenue risk and upside for executive review.
- Conduct variance analysis — actual vs. budget vs. prior year — with clear narrative on volume, price/mix, and one-time drivers to support management reporting.
Financial Analysis & Reporting
- Perform ad-hoc financial analysis, cost studies, and gross margin analysis to support commercial decision-making and strategic initiatives.
- Design, monitor, and report on KPIs that help non-finance stakeholders understand business performance — translating data into decisions.
- Build and maintain executive-ready dashboards in Tableau (or equivalent) that deliver clear, actionable insights across revenue, margin, and productivity metrics.
- Integrate and reconcile data from multiple systems, including SAP, to create cohesive, audit-ready reporting packages.
- Collaborate cross-functionally with operations, product, and leadership to align business priorities with financial insights and resource allocation.
INTERPERSONAL CAPABILITIES
|
Capability |
What This Looks Like in This Role |
|
Intellectually Curious |
Always asking "why" — digs into root causes of revenue misses, margin erosion, or pipeline gaps rather than accepting surface-level answers. |
|
Commercial Storyteller |
Translates complex financial models into clear narratives for sales leaders, operations managers, and the C-suite — adjusting depth and vocabulary by audience. |
|
Ownership & Accountability |
Treats the forecast as their forecast. Proactively identifies risks before close, flags variance drivers early, and continuously raises the quality bar. |
|
Cross-Functional Connector |
Bridges the gap between sales pipeline reality and financial planning assumptions — fluent in both the language of quota attainment and operating leverage. |
|
Strategic Mindset |
Looks beyond the current quarter to identify emerging risks, pricing opportunities, and long-term growth levers that inform capital allocation. |
|
Time Management |
Manages competing close, forecast, and ad-hoc cycles simultaneously — knows when to go deep vs. when good enough is the right call. |
TECHNICAL EXPERTISE
- Advanced financial modeling: driver-based forecasting, dynamic rolling models, sensitivity/scenario analysis, and annual budgeting.
- Revenue and pipeline analytics: translating CRM/pipeline data (Salesforce or equivalent) into quantitative forecast inputs.
- KPI design, monitoring, and executive-level reporting — ability to define the metric, build the model, and tell the story.
- Data integration and storytelling — connecting SAP, CRM, and BI tools into a single source of commercial truth.
- Variance analysis with continuous improvement mindset — not just "what happened" but "what do we do about it."
- ERP experience required: SAP strongly preferred. Experience with S/4HANA or BPC a meaningful plus.
- Dashboarding: Tableau or equivalent
- Automation and self-service analytics: Alteryx, Python, or SQL experience is a differentiating plus.
QUALIFICATIONS
Required
|
• Bachelor's in Finance, Accounting, Economics, or related field • 4+ years in FP&A, commercial finance, or business finance • Advanced Excel and financial modeling skills |
• Experience with SAP or comparable ERP • Tableau or equivalent dashboard development • Strong analytical, communication, and presentation skills |
Preferred / Differentiating
|
• MBA or CPA/CMA designation • SAP ECC or S/4HANA or BPC experience |
• Alteryx, Python, or SQL for data automation • Experience in a manufacturing or distribution environment |
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, or disability.
Nearest Major Market: Charlotte