Assist in the preparation, consolidation, and analysis of annual budgets, monthly forecasts, and long-range planning.
Analyze monthly actuals vs. budget/forecast, identify key variances, and provide meaningful commentary to stakeholders.
Manage the 13-Week Cash Flow forecast model and reporting cadence, tracking DSO, DPO, and working capital drivers and presenting insights to senior leadership
Maintain OneStream, managing data inputs across multiple business units and building reports used in monthly financial reporting and planning processes
Develop and maintain financial models and dashboards that provide real-time insights into business performance.
Ensure data integrity and accuracy in all reporting and analytics efforts.
Prepare regular and ad hoc financial reports and presentations for executive leadership and private equity sponsors.
Prepare quarterly financial reports for lenders
Champion the adoption of AI tools and Microsoft Copilot to streamline financial workflows, automate reporting tasks, and introduce best-in-class operational practices across the team.
Requirements
Bachelor’s degree in Finance or Accounting
2+ years of experience in FP&A, corporate finance, or a related analytical role.
Strong Excel and financial modeling skills;
Experience with financial systems (e.g., Sage, PowerBI) is a plus.
Onestream knowledge is required
Demonstrated ability to implement or support technology-driven process improvements.
Exceptional attention to detail with a high degree of accuracy in work.
Strong interpersonal and communication skills, with the ability to work cross-functionally.
Benefits
Cobalt offers a comprehensive benefits package, including healthcare, 401k match, and flexible time off.