$60K - 90K a year
Create and maintain financial models, perform financial and strategic analyses, prepare presentations for corporate and board meetings, and support capital market activities.
Requires 1+ years of quantitative financial analysis experience, bachelor's degree in a related field, proficiency in Excel, understanding of GAAP, and strong communication skills.
Description: • Create and maintain complex financial models for forecasting, discounted cash flow analysis, and valuation • Perform financial analysis to determine impacts and attractiveness of internal projects, strategic initiatives, and acquisitions / divestitures • Develop medium & long-term financial budgeting, planning, and sensitivity analysis • Create charts, graphs, and visualizations • Prepare materials for corporate presentations and Board of Director meetings • Evaluate and assist in capital markets activities including debt and equity issuances and repurchases • Provide analytical support for communication with credit rating agencies Requirements: • 1+ years of related work experience that demonstrates quantitative skills and an ability to perform a variety of financial and strategic analyses • Bachelor's degree in finance, economics, accounting, business, engineering, or a closely related field; Master of Business Administration (MBA) degree is a plus • Financial modeling experience • Understanding of GAAP accounting and financial statements • Ability to analyze complex data and develop recommendations • Willingness to be self-directed and get into the details • Effective collaboration and creative problem-solving skills • Excellent communication and presentation skills • Proficiency in Microsoft Office software, especially Excel • Self-starter with an ability to quickly grasp & assess business goals and financial issues Benefits: • Infrequent travel for in-person gathering may be required
This job posting was last updated on 10/10/2025