Manage ongoing financial operations, including budgeting, forecasting, and financial statement analysis.
Evaluate and manage financial aspects of key strategic projects, providing insight into project viability, funding, and risk management.
Apply advanced analytical techniques to financial data, enabling predictive insights, trend analysis, and strategic forecasting.
Lead the development of annual budgets, quarterly forecasts, and monthly financial reports.
Develop and present financial analysis both visually and verbally to business leaders.
Conduct detailed analyses for purposes of investment initiatives and capital allocation.
Requirements
Must be 18 years of age or older
Must be legally permitted to work in the United States
Working knowledge of Microsoft Office Suite
Working knowledge of Tableau
Working knowledge of presentation software (e.g., Microsoft PowerPoint)
Demonstrated ability to collaborate and work effectively with cross-functional teams
Basic knowledge of SQL, GBQ, and Tableau
Advanced expertise in Excel and PowerPoint, including formatting, organizing thoughts, and tailoring content to the audience.
Proven ability to curate and present data effectively.
Demonstrated agility in learning and adapting to new technologies and tools.
Strong focus on delivering accurate output by meticulously checking work before submission to ensure high-quality results.
Exceptional attention to detail, particularly in verifying and building upon existing data and information.
Proficiency in translating analytical insights into visual formats, including the ability to create clear, compelling graphics and sequence data to effectively tell a story and emphasize key points.
Adaptability to organizational changes and the ability to transform to meet evolving business needs.
Strong strategic thinking and problem-solving abilities, with a high degree of independence and initiative.