Responsibilities
- Analyze financial or operational performance to identify remedies.
- Define metrics and leading indicators of business performance.
- Conduct financial analyses related to investments.
- Create client presentations of plan details.
- Develop and maintain client and cross-functional relationships.
- Employ financial models to develop solutions to financial problems or assess transaction impacts.
- Build and own models for in-depth analyses, ensuring quality, timeliness, and accuracy.
- Inform investment decisions by analyzing financial information to forecast conditions.
- Act as financial partner for strategic projects and investments.
- Prepare plans of action for investments using financial analyses.
- Design analytical rigor to measure efficiency and ROI of investments, influencing decision-making.
Minimum Requirements
- Master’s degree in Management, Finance, Business Administration or related field, plus 5 years in Strategy Finance/FP&A role.
- 3 years utilizing Excel/Google Sheets and SQL to build financial models and analyses, scenario evaluation.
- 3 years understanding and evaluating investment opportunities (ROI analyses) for long-term strategies.
- 3 years preparing accurate financial reports for stakeholders.
- 3 years creating/managing budgets and developing financial forecasts using Excel/Google Sheets and data sources.
Compensation
Salary: $179,088 – $220,800/year (base; additional commissions/bonuses if applicable).
Benefits: equity, company bonus/commissions, 401(k), medical/dental/vision, wellness stipends.
Schedule: 40 hrs/week, 50% telecommuting permitted.