FP&A Manager

Vulcan Elements is manufacturing American rare-earth permanent magnets for a secure, resilient future. With a focus on national security and economic resiliency, we serve critical industries such as defense, aerospace, and automotive powering a high-technology future. Vulcan Elements is building a team of ambitious professionals committed to Mission Focus, Technical Excellence and Transparency.

The FP&A Manager is a broadly scoped role with significant responsibilities across FP&A, Corporate Finance, and Strategic Finance, reporting to the Director of FP&A. It will support:

1) The Company’s financial planning, budgeting, forecasting, and reporting processes,

2) Any M&A execution and financing activities

3) As-needed analysis of key financial and strategic topics.

This role partners closely with cross-functional teams to deliver accurate financial insights, execute on critical projects, and inform strategic decision-making.

Responsibilities

Financial Planning & Analysis

• Develop and maintain monthly, quarterly, and annual financial forecasts

• Prepare variance analysis against budget, forecast, and prior periods

• Support preparation of monthly management reports, dashboards, and KPI tracking

• Build and enhance financial models to support strategic initiatives and scenario planning

• Partner with business leaders to analyze financial drivers and provide actionable insights

• Coordinate with functional departments across the organization to ensure alignment, accuracy, and accountability

• Assist in annual budgeting and long-term planning processes

• Own EBITDA adjustments and assist preparation of lender compliance documents Corporate Finance

• Drive forward execution on any contemplated M&A or financing transactions, including diligence, valuation, negotiations, etc.

• Assist investor relations function with analysis responsive to key questions of investors and other stakeholders

• Analyze optimal capital allocation for rapid scale-up and long-term value creation Strategic Finance

• Prepare financial analysis to guide key strategic and operational decisions, including pricing, target end markets / geographies, product portfolio, capital expenditures, etc.

Cross-Functional Collaboration

• Work with Operations, HR, Supply Chain, and other teams to gather data and support analysis

• Provide financial guidance and ad-hoc reporting to help teams achieve strategic priorities

• Communicate financial insights clearly to both financial and non-financial stakeholders Process Improvement

• Identify opportunities to streamline all aspects of the Finance function

• Support implementation or optimization of financial systems and tools

• Help develop standardized templates for reporting and forecasting

Responsibilities and tasks outlined are not exhaustive and may change as determined by the needs of the business

Qualifications

• Bachelor’s degree in Finance, Economics, or related field

• 3-4 years of experience in Investment Banking, Private Equity, FP&A, or a related financial role

• Strong understanding of GAAP and core accounting principles

• Strong grasp on core corporate finance concepts such as ROIC, WACC, LTV / CAC

• Advanced Excel skills; experience with financial modeling required

• Excellent analytical, organizational, and communication skills

• Ability to manage multiple priorities in a fast-paced environment

• Experience with ERP systems, BI tools (e.g., Power BI, Tableau), and / or data tools (Python, PowerQuery, SQL, etc.) a plus

Must be a U.S. Person due to required access to U.S. export-controlled information or facilities.

Preferred Traits

• Collaborative mindset and eagerness to learn

• Investor / owner mentality and pride in work product

• Detail-oriented with strong problem-solving abilities

• Desire to support values by demonstrating mission focus, technical excellence and innovation