Remote position
Senior Financial Analyst
at Finance and Legal
About this role
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Corporate forecasting & consolidations: Coordinate and consolidate company-wide forecasts, budgets, and long-range plans to provide leadership with a comprehensive view of business performance
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Cash flow planning: Own key cash forecasting processes, including Direct and Indirect Cash Flow, Collections, Operating Cash Flow, and Free Cash Flow forecasting
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Accounting partnership: Partner closely with Accounting during monthly and quarterly close cycles to understand results, review accruals, ensure forecast alignment, and improve financial accuracy
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Forecast accuracy: Identify forecast risks and opportunities, analyze variances, and recommend improvements to forecasting methodologies and planning processes
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Reporting & analytics: Prepare monthly financial reporting packages, budget-to-actual analyses, and management reporting that highlight key business drivers and actionable insights
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Executive & Board support: Contribute to Board of Directors materials, executive presentations, and strategic analyses that support decision-making across the company
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Model ownership: Own and enhance critical Corporate FP&A models, including stock-based compensation, share count, capital expenditures, cash flow forecasting, collections, and long-range planning models
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Process improvement: Help scale Finance by improving planning, forecasting, consolidation, and reporting processes while increasing automation and model efficiency
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Cross-functional partnership: Work closely with Accounting, People, IT, Legal, and other business leaders to support planning, resource allocation, and strategic initiatives
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3 to 5 years of financial analysis experience
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Proven experience building financial models and performing business analysis, with strong analytical and problem-solving skills
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Curious about how AI can make you sharper and faster, quick to pick up new tools and apply them to analysis, reporting, and the repetitive work that gets in the way of good thinking
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Advanced Excel skills, including complex formulas, pivot tables, and model building, with working proficiency in PowerPoint and Word
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Excellent communication skills, written and verbal, including the ability to explain financial results clearly to partners outside of Finance
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Ability to bring structure to ambiguity
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A high level of discretion, given regular exposure to confidential compensation and headcount data
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BA/BS degree in finance or accounting, or in a highly analytical field such as engineering, mathematics, or computer science, or equivalent practical experience
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Experience with Anaplan or another financial planning tool is a plus
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Experience in SaaS or at a publicly traded company is a plus
Real Remote Score 39/100 · see the full breakdown
Real Remote Score
39/100
Weak
- Comp
- 0/25
- Location
- 4/25
- Source
- 15/15
- Clarity
- 8/15
- Freshness
- 12/20
Why this score? ▾
- Compensation · No salary disclosed 0/25
- Location · Specific city or narrow scope 4/25
- Source · Direct employer ATS 15/15
- Role clarity · Seniority clear, stack not in title 8/15
- Freshness · Posted 7 days ago: within last week 12/20
How the Real Remote Score is calculated → · Score appeals & corrections
Hybrid Transparency Score 40/100 · see the full breakdown
Hybrid Transparency Score
40/100
Mixed
- Days
- 0/30
- Location
- 30/30
- Schedule
- 0/15
- Relocation
- 0/15
- Source
- 10/10
This role is hybrid: it expects some in-office presence. HTS grades how clearly the employer discloses the hybrid terms. How the Hybrid Transparency Score works →
Posted via Lever:outreach. Applications are handled by Finance and Legal. RemNavi earns no commission.
Apply on Finance and Legal →