Job Overview
We are seeking a professional for our Corporate Finance team to support Anthropic's financial planning and reporting capabilities. You will build and own Anthropic's balance sheet and cash flow forecast, providing leadership a reliable, driver-based view of free cash flow and liquidity.
Key Responsibilities
- Design and own the balance sheet and cash flow forecast model architecture
- Develop forecasting methodologies for cash-impacting items, including working capital, capex, leases, debt and interest, equity and stock-based compensation, and cash taxes
- Partner with Finance & Strategy, Accounting, and Treasury to integrate the forecast with financial processes
- Deliver free cash flow reporting, a driver-based cash bridge, and scenarios and sensitivities on cash and liquidity
Requirements
- Experience designing and building integrated three-statement forecasts
- Proficiency in Excel/Google Sheets and modern financial planning tools (e.g., Pigment, Anaplan, Adaptive)
- Excellent communication and storytelling abilities
- Strong collaboration skills and ability to build effective partnerships across functions and levels
Preferred Qualifications
- 5+ years of experience in FP&A, corporate finance, controllership, or a mix
- CPA or Big 4 audit/technical accounting background
- Experience operating within public-company reporting and SOX control environments
- Experience with capital-intensive businesses and financing structures
Benefits
- Competitive compensation and benefits
- Optional equity donation matching
- Generous vacation and parental leave
- Flexible working hours
- Lovely office space
Logistics
- Minimum education: Bachelor’s degree or equivalent
- Required field of study: Relevant to the role
- Location-based hybrid policy: 25% office time
- Visa sponsorship: Available


