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Job Overview
Employment Type
Full-time
Compensation
Salary
Range $120,000.00 - $130,000.00
Work Schedule
Standard Hours
Benefits
Health Insurance
Dental Insurance
Paid Time Off
Retirement Plan
Professional Development
performance bonuses
Employee Discounts
Job Description
Fat Tuesday is a nationally recognized frozen cocktail brand that is synonymous with vibrant nightlife and entertainment venues. Established within the beverage and hospitality industry, Fat Tuesday has earned its iconic status through its signature frozen cocktails, which have become a staple at high-volume venues across the country. The brand is known not only for its unique products but also for its strong presence in the hospitality sector, offering guests unforgettable experiences. As a company, Fat Tuesday emphasizes growth, innovation, and operational excellence to maintain its competitive edge in a fast-paced and evolving market. The company prides itself on a... Show More
Job Requirements
- Bachelor’s degree in finance, accounting, economics, or related field required
- 6-10 years of progressive experience in FP&A, corporate finance, or accounting
- experience with investor and/or lender reporting required
- strong analytical and communication skills
- proficiency with Excel and financial planning tools
- ability to collaborate cross-functionally
- self-starter with attention to detail
- experience in food & beverage, hospitality, franchise, or private equity-backed environments preferred
Job Qualifications
- Bachelor’s degree in finance, accounting, economics, or a related field
- MBA or CPA a plus
- 6-10 years of progressive experience in FP&A, corporate finance, or accounting
- industry experience in food & beverage, hospitality, franchise, or private equity-backed environments strongly preferred
- demonstrated experience with investor and/or lender reporting
- expert financial modeling, forecasting, and scenario analysis capabilities
- proven ability to prepare board-level materials and present to executive and investor audiences
- solid understanding of cash flow mechanics, working capital, and liquidity management
- advanced proficiency in Excel
- experience with financial planning and reporting tools
- familiarity with Toast POS, inventory management systems, and Sage Intacct a significant plus
- exceptional written and verbal communication skills
- self-starter with strong attention to detail and ability to manage multiple priorities in a fast-paced, growth-oriented environment
Job Duties
- Own and lead the monthly and quarterly forecasting processes, ensuring accuracy, timeliness, and cross-functional alignment
- drive the annual budgeting cycle and manage ongoing reforecasts in response to business changes
- analyze financial performance, key trends, and budget variances delivering clear explanations and recommendations to leadership
- partner with operations to support unit-level forecasting, performance benchmarking, and variance reviews
- prepare and manage all external financial reporting packages for investors and lenders
- own lender reporting, covenant compliance tracking, and ad hoc financial requests from capital partners
- maintain and continuously improve short- and mid-term cash flow forecasting models
- monitor working capital trends, flag liquidity risks, and recommend corrective actions proactively
- own the preparation of monthly and quarterly board materials, executive summaries, and investor-facing financial presentations
- support the design, financial modeling, and ongoing tracking of bonus and incentive compensation plans
- identify and lead improvements to FP&A processes, financial models, and reporting infrastructure
- collaborate across accounting, operations, HR, and leadership to deliver integrated financial insights
Job Qualifications
Experience
Expert Level (7+ years)
Job Location
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