Candidates typically have a finance-related degree, several years of FP&A or financial analysis experience, strong Excel and financial systems skills, and the ability to communicate financial insights effectively.
- Lead the annual budgeting, quarterly forecasting, and long-range financial planning processes
- Develop, maintain, and enhance complex financial models to support strategic initiatives and business decisions
- Perform monthly variance analysis (actual vs. budget/forecast) and provide insightful explanations and recommendations
- Partner with cross-functional teams (operations, sales, accounting, etc.) to evaluate performance and identify risks and opportunities
- Prepare and present financial reports, dashboards, and executive-level summaries
- Analyze key performance indicators (KPIs) to track business performance and support data-driven decision-making
- Support capital planning, cost optimization initiatives, and investment analysis
- Drive process improvements and automation to increase efficiency in financial reporting and forecasting
- Ensure accuracy and integrity of financial data across systems and reports
- Assist with ad hoc financial analysis and special projects as needed
- Utilize Power Query and Power BI to automate data extraction, transformation, and visualization.
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