The finance analyst (FP&A) is responsible for collection organization interpretation analysis recording documentation and dissemination of complex data sets. The candidate will work in processing data and producing analysis supporting business unit strategic reporting forecasting and planning with a strong focus on accuracy timeliness customer service and the ability to work in a fast-paced environment. The candidate will provide support and be part of the US Finance team.
Responsibilities:
- Support senior finance management and business stakeholders in producing analysis and reporting to drive business accountability measure business decisions against commitments and prior results and be part an integral part of the strategic planning cycle.
- Day to day activities will include profit and loss reporting forecasting budgeting and variance analysis.
- Work collaboratively and develop strong relationships within the Business Unit with operational executives and with managers.
- Research and resolve premium claims and expense discrepancies between Arch front-end systems and Arch financial reporting System.
- Reconcile financial results on a periodic basis (monthly and quarterly) for both P&L and Balance Sheet in order to validate the accuracy of financially reported results.
- Perform financial analysis general ledger reconciliations and generate key reports.
- Utilize information from third parties and Business Units to report financial results in support of business management and business steering from a strategic financial perspective.
- Provide assistance reconciliations and other support as required for internal and external partners.
- Assist with special projects and ad hoc reporting as required by the department or other business units
Qualifications :
- In-depth knowledge of GAAP.
- Ability to understand and apply standard practices and procedures.
- Strong analytical skills with the ability to collect organize analyze and disseminate significant amounts of information with attention to detail and accuracy.
- Skilled in identifying and resolving moderately complex accounting issues.
- In-depth knowledge of and experience with reporting packages and financial systems .
- Solid understanding of month-end close processes and account analysis.
- Strong time management with the ability to work under pressure and consistently meet deadlines.
- Excellent communication and interpersonal skills.
- Strong knowledge of MS Excel with the ability to create and use complex formulas and pivot tables to analyze data
Additional Information :
Bachelors degree in Accounting or Finance
Remote Work :
Yes
Employment Type :
Full-time
The finance analyst (FP&A) is responsible for collection organization interpretation analysis recording documentation and dissemination of complex data sets. The candidate will work in processing data and producing analysis supporting business unit strategic reporting forecasting and planning with a...
The finance analyst (FP&A) is responsible for collection organization interpretation analysis recording documentation and dissemination of complex data sets. The candidate will work in processing data and producing analysis supporting business unit strategic reporting forecasting and planning with a strong focus on accuracy timeliness customer service and the ability to work in a fast-paced environment. The candidate will provide support and be part of the US Finance team.
Responsibilities:
- Support senior finance management and business stakeholders in producing analysis and reporting to drive business accountability measure business decisions against commitments and prior results and be part an integral part of the strategic planning cycle.
- Day to day activities will include profit and loss reporting forecasting budgeting and variance analysis.
- Work collaboratively and develop strong relationships within the Business Unit with operational executives and with managers.
- Research and resolve premium claims and expense discrepancies between Arch front-end systems and Arch financial reporting System.
- Reconcile financial results on a periodic basis (monthly and quarterly) for both P&L and Balance Sheet in order to validate the accuracy of financially reported results.
- Perform financial analysis general ledger reconciliations and generate key reports.
- Utilize information from third parties and Business Units to report financial results in support of business management and business steering from a strategic financial perspective.
- Provide assistance reconciliations and other support as required for internal and external partners.
- Assist with special projects and ad hoc reporting as required by the department or other business units
Qualifications :
- In-depth knowledge of GAAP.
- Ability to understand and apply standard practices and procedures.
- Strong analytical skills with the ability to collect organize analyze and disseminate significant amounts of information with attention to detail and accuracy.
- Skilled in identifying and resolving moderately complex accounting issues.
- In-depth knowledge of and experience with reporting packages and financial systems .
- Solid understanding of month-end close processes and account analysis.
- Strong time management with the ability to work under pressure and consistently meet deadlines.
- Excellent communication and interpersonal skills.
- Strong knowledge of MS Excel with the ability to create and use complex formulas and pivot tables to analyze data
Additional Information :
Bachelors degree in Accounting or Finance
Remote Work :
Yes
Employment Type :
Full-time
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