About the Role
As a Finance & Strategy Manager, you will serve as the primary finance partner for Robinhood Derivatives, LLC (RHD), the organization that operates our Futures and Prediction Markets businesses. You will own end-to-end P&L management and lead forecasting, planning, and performance reporting in close partnership with senior RHD leaders. This role requires building detailed financial models, identifying cost drivers, and translating analysis into clear recommendations that inform investment and resourcing decisions. Your work will directly shape how capital is allocated and how these businesses scale responsibly and efficiently.
This role is based in our Chicago, IL, Menlo Park, CA, and New York, NY office(s), with in-person attendance expected at least 3 days per week.
At Robinhood, we believe in the power of in-person work to accelerate progress, spark innovation, and strengthen community. Our office experience is intentional, energizing, and designed to fully support high-performing teams.
What you’ll do
Serve as the primary finance partner to senior RHD leaders across Futures and Prediction Markets, providing analysis to inform capital allocation, resourcing, and investment decisions.
Build and maintain financial models and decision frameworks by standardizing inputs, documenting methodologies, and tracking key indicators of business performance.
Own end-to-end budget and workforce planning across Product, Engineering, Operations, and Compliance by monitoring cost drivers, identifying risks early, and recommending tradeoffs.
Manage core financial processes including weekly KPI tracking, monthly finance reviews, quarterly forecasts, and annual operating plans.
Lead scenario modeling, growth analysis, and performance deep-dives, partnering with data scientists to deliver clear, decision-ready insights.
What you bring
8+ years of progressive experience in Finance & Strategy or a related analytics-focused role, including 3+ years supporting product finance within fintech, an exchange, or another high-growth business.
Advanced financial modeling, budgeting, forecasting, and workforce planning experience, with a track record of identifying risks and opportunities and translating them into actionable recommendations (M&A experience is a plus).
Experience presenting complex financial analyses and business insights to senior leaders in a clear and structured manner.
Proficiency in Google Sheets and comfort working with large datasets; experience with SQL and dashboarding tools such as Superset is preferred.
Tech Stack
financial modelingbudgetingforecastingworkforce planninggoogle sheetssqlsuperset