Key ResponsibilitiesFinancial Modeling & ForecastingDevelop and maintain advanced financial models to support budgeting, forecasting, valuation, and strategic planning.
Build scenario analyses and sensitivity models to evaluate business performance under different assumptions.
Create 3-statement financial models (P&L, Balance Sheet, Cash Flow) for forecasting and investment analysis.
Support long-term financial planning and business forecasting through dynamic and scalable modeling frameworks.
Conduct valuation analysis using methodologies such as DCF, comparable companies, and precedent transactions when applicable.
Financial AnalysisAnalyze financial performance, including variance analysis vs budget and forecast.
Identify trends, risks, and opportunities through financial data analysis.
Provide insights into cost drivers, profitability, and operational efficiency.
Prepare financial analyses to support investment decisions, pricing strategies, and growth initiatives.
Business Support & Strategic PlanningCollaborate with finance leadership and cross-functional teams to support strategic initiatives and business planning.
Support M&A analysis, investment evaluations, and ROI analysis where relevant.
Translate financial insights into clear recommendations for senior management.
Assist leadership with ad-hoc financial modeling and scenario analysis.
Reporting & Data ManagementDevelop and maintain financial dashboards and management reports.
Ensure the accuracy and integrity of financial data used in modeling and reporting.
Improve financial reporting processes through automation and enhanced modeling structures.
Process ImprovementContinuously enhance financial models to improve efficiency, scalability, and usability.
Identify opportunities to automate analysis and reporting using advanced Excel techniques or BI tools.
Support improvements to financial planning and analysis processes.
Required QualificationsBachelor’s degree in Finance, Accounting, Economics, or a related field.
3–6 years of experience in financial analysis, financial planning & analysis (FP&A), investment analysis, or similar roles.
Strong expertise in financial modeling and forecasting.
Advanced proficiency in Microsoft Excel (financial modeling, scenario analysis, pivot tables, complex formulas).
Strong understanding of financial statements and corporate finance principles.
Excellent analytical and problem-solving skills.
Strong communication skills with the ability to present financial insights clearly to non-finance stakeholders.
Highly detail-oriented and organized.
Fluency in English is a MUST
Preferred QualificationsExperience with BI tools such as Power BI or Tableau.
Experience with SQL, Python, or financial data automation.
Professional certifications such as CFA, CPA, or FMVA (or in progress).
Experience in M&A, valuation, or investment analysis.