Responsibilities:
- Provide analytical, budgeting, forecasting, reporting as well as ROI calculation, strategy, and project support to senior management
- Prepare monthly, quarterly, and annual reports – key metrics, financial results, and variance reporting
- Identify opportunities for performance improvement across the organization
- Drive revenue growth through market analysis, analyzing market trends
- Any other ad-hoc activities
Requirements:
- Bachelor’s degree in Finance & Accounting or related field; CPA is a plus, Tax certification is a plus
- 3-6 years of work experience in corporate finance, finance planning & analysis, or related field
- Strong working knowledge of Excel and financial modeling
- Excellent analytical, decision-making, and problem-solving skills combined with strong business acumen
- Attention to accuracy and detail required
- Agile and able to thrive in a VUCA (Volatile, Uncertain, Complex, Ambiguous) environment
- Experience in a startup environment preferred