-Analyze financial data to identify trends and insights.
-Develop financial models to support business decision-making.
-Prepare reports on company performance for management and the leadership team.
-Monitor budgets, forecasts, and key financial metrics.
-Conduct variance analyses to explain differences between planned and actual performance.
-Collaborate with teams to evaluate investment opportunities and risks.
-Stay updated on industry trends and market conditions.
-Familiarity with GAAP and financial reporting standards.
-Strong analytical skills with proficiency in Excel and financial modeling.
-Knowledge of financial software such as SAP, Oracle, or QuickBooks.
-Excellent communication and presentation skills.
-Attention to detail and ability to manage multiple tasks.
-2–4 years of experience in financial analysis or a related role.
-Bachelor’s degree in finance, economics, or a related field.