Sr. Analyst
cabi, LLC
| Company | cabi, LLC |
| Category | Data & Analytics |
| Location | Long Beach |
| Remote | On-site (inferred) |
| Employment | Not stated |
| Level | Senior |
| Salary | Not stated by the employer |
| Posted | 28 May 2026 |
| Last verified | 30 Jul 2026 |
| Source | Employer career page (greenhouse) |
Description
At Cabi, we’re redefining what it means to build a fashion brand, one rooted in connection, confidence, and purpose. As a women’s retail clothing company, we don’t just design beautiful apparel; we create opportunities for women to express themselves, build community, and thrive both personally and professionally. Our culture is collaborative, entrepreneurial, and deeply people-first, where every team member plays a role in shaping meaningful experiences for our Stylists and clients. If you’re energized by creativity, inspired by empowering others, and excited to contribute to a brand that blends style with substance, you’ll find a home here. The Senior Analyst, FP&A is a high-impact individual contributor on the Finance & Accounting team at cabi. Reporting to the Director of Finance, this role is the operational engine behind cabi's planning and reporting cycles — supporting OpEx reporting, budget and forecast development, and liquidity planning across the enterprise.
The ideal candidate is a technically strong analyst who moves fluidly between detailed model-building and clear executive communication. This role offers direct exposure to senior leadership and PE/lender audiences, with a runway to grow into broader FP&A ownership as the finance function scales.
Core Responsibilities
OpEx Reporting & Variance Analysis
Prepare and own monthly OpEx reporting packages, including actuals vs. budget and actuals vs. prior year, with clear variance commentary at the cost center and GL account level.
Perform rate vs. volume decomposition on key expense lines, translating drivers into concise narratives for the Director of Finance and CFO, and proactively surfacing risks and opportunities within the OpEx forecast.
Partner with department heads to gather cost explanations, validate coding, and ensure reporting accuracy ahead of monthly close cadences.
Maintain and continuously improve OpEx reporting templates to support faster cycle times and more actionable insight delivery.
Budgeting & Forecasting
Support the annual budgeting process end-to-end, including building department-level OpEx submissions, consolidating inputs, and managing iteration cycles with functional owners.
Own monthly re-forecast builds across the P&L, maintaining integrity between revenue, gross margin, and operating expense assumptions.
Build and maintain scenario models that quantify risk and opportunity ranges for the forecast, supporting proactive guidance to the Director of Finance.
Cross-Functional Budget & Forecast Partnership
Serve as the day-to-day FP&A contact for functional leaders (Marketing, Operations, Technology, HR, Merchandising), guiding them through budget development and monthly forecast submissions.
Translate business assumptions from cross-functional partners into financial model inputs, ensuring forecast integrity across the consolidation.
Develop financial acumen among non-finance stakeholders through clear communication, accessible reporting, and proactive engagement during planning cycles.
Support go-to-market and investment decision analysis by building business cases and quantifying trade-offs for senior leadership.
Liquidity Planning & Cash Flow
Assist with 13-week and annual liquidity forecast development, maintaining assumptions for working capital, capital expenditures, and debt service.
Support revolver borrowing/paydown analysis and covenant compliance tracking in coordination with the Director of Finance.
Maintain cash flow models that integrate P&L and balance sheet drivers, flagging liquidity risks or tightening headroom proactively.
Support balance sheet forecast maintenance, including key working capital line items (AR, AP, inventory, accruals), ensuring BS assumptions are consistent with P&L and cash flow projections.
Management Reporting & Board Support
Contribute to monthly management repo