Talently
Job Title: Bilingual Senior FP&A & Treasury AnalystLocation: Hybrid – Fremont, California, United StatesSalary: $130,000-$160,000About the Semiconductor Manufacturing Company / The Opportunity:Join a dynamic company in the semiconductor manufacturing industry that produces specialty wafer materials used where standard silicon cannot meet performance requirements. This role offers an opportunity to lead high-impact FP&A work across finance and treasury for a public, capital-intensive manufacturer, supporting executive leadership and the Board with insightful reporting and decision support. The position is hybrid based in Fremont, CA, and will involve close cross-functional partnership with operations, treasury, and international teams, including periodic travel.Responsibilities:Develop, maintain, and improve P&L forecasting, annual budgeting, and long-range planning models to support guidance and senior leadership decision-making.Create Board and executive-level financial packages, management reports, and KPI dashboards that clearly communicate performance and outlook.Perform detailed variance and flux analysis to explain drivers of results, margin changes, and the contribution of price and cost movements to gross margin.Build ASP, product profitability, and raw materials trend reports by product, diameter, region, and customer to inform pricing and commercial strategy.Manage cash and investment reporting for a sizable portfolio, monitor maturities, recommend re-investment strategies, and support liquidity planning and cash forecasting.Support treasury operations including tracking loans and debt activity, monitoring FX exposure, and helping develop hedging strategies to mitigate currency risk.Partner with accounting and external audit teams on month-end/quarter-end close activities, support SEC reporting inputs, and contribute to SOX/internal control processes as needed.Lead ad hoc analyses and special projects that improve planning processes, reporting automation, and cross-functional decision support.Must-Have Skills:5+ years of progressive FP&A or corporate finance experience, ideally within manufacturing or high-tech industries.Advanced financial modeling skills, including three-statement modeling, P&L forecasting, and scenario analysis.Proven experience with cash management, investment portfolio tracking, and liquidity forecasting for large cash balances.Strong knowledge of GAAP, SEC reporting requirements (10-Q/10-K), and SOX/internal control practices for a public company.Expert-level Excel (Power Query, Power Pivot, VBA) and experience with one or more enterprise planning/reporting tools (e.g., Hyperion, OneStream, Adaptive, Anaplan).Experience partnering with senior leaders and preparing Board-level reporting and presentations.Excellent variance/flux analysis, cost and margin analysis, and the ability to translate data into actionable recommendations.Bilingual Mandarin/Chinese language skills and experience working with manufacturing teams or partners in China.Nice-to-Have Skills:Experience in semiconductor materials, wafer manufacturing, or electronics manufacturing finance.Hands-on experience with SAP, SAP S/4HANA, Oracle ERP, or NetSuite integrations to FP&A processes.Familiarity with data visualization tools such as Power BI or Tableau for dashboard development.Prior exposure to capital planning and CapEx forecasting for manufacturing investments.Experience supporting treasury hedging programs and foreign exchange strategies.
To apply for this job please visit www.linkedin.com.