•Analyze financial data, prepare reports, and evaluate performance against plans.
•Build financial models, conduct sensitivity analysis, and develop analytics for business insights.
•Monitor financial performance, report on variances, and present financial insights to senior management.
•Identify and implement process improvements in FP&A activities and reporting.
•Requirements Bachelor's degree in Finance, Accounting, Economics, or related field. 3-7 years of experience in financial analysis, modeling, and forecasting.
•Advanced proficiency in Excel and financial modeling tools.
•Experience with financial reporting tools and ERP systems (e.g., Anaplan, NetSuite, Oracle, Foundry).