Associate Strategic Finance
Employer: Accordion Partners LLC
Job location: San Francisco CA
- Responsible for developing predictive models to determine data availability and reliability.
- Design a structured modeling process to aggregate relevant data sets that will serve as the foundation of all future finance-based reporting.
- Write queries against a variety of databases create data pipelines and develop data-rich business intelligence dashboards. Identify and maintain our business intelligence tools databases and dashboards as well as manage the flow of business intelligence information to clients
- Perform detailed data analysis and extract actionable insights from client datasets and unstructured information sources.
- Develop reporting cadence and automated processes that combine sound data flows and insightful KPIs to generate a monthly Board and management reporting packages.
- Construct impactful reporting packages to enhance key stakeholders understanding of business trends and performance drivers.
- Work with the CFO Sponsor and Operating team to understand business drivers verify KPIs and establish a single source of numerical truth via monthly reporting packages.
- Develop data-driven analysis and prepare forecasts and recommendations for budget plans cash flow and other anecdotes root causes and key corrective themes in clients existing budgeting and forecasting processes.
- Support client engagements by managing workstreams according to agreed timelines producing high-quality outputs and presenting deliverables to clients.
- Develop financial and analytical models at various levels of granularity to deliver operational and transactional insights.
- Conduct in-depth financial and business analysis to support strategic investment and growth decisions.
Requirements:
- Bachelors degree (US or foreign equivalent) in Data Science Statistics Economics or a related field and five (5) years of experience in the position offered Corporate Development Associate Investment Banking Analyst or in a related role.
- Three (3) years of the required experience must have included experience with:
- planning and executing post-acquisition integration including cross-functional coordination and finance process alignment; designing and implementing frameworks for month-end closing and consolidated financial statements; leading budgeting and resource allocation processes followed by variance analysis; analyzing and visualizing heavy data using Excel and Power Query for actionable insights; developing and presenting management reporting packages summarizing key financials and KPIs for executive team members; conducting financial forecasting market research and pricing optimization to support strategic planning; supporting strategic initiatives for C-suite stakeholders including cost optimization through vendor contract negotiations and workstream automation; producing strategic financial plans and building financial models and scenario analyses to align multi-year growth strategies with business and financial objectives; building out and maintaining 13-week cash flow forecasts for clients; consolidating existing financial reporting from disparate systems including adjusting for deviations in accounting policies and procedures to produce a single functioning financial reporting system; and building analytical tools and creating template reporting.
- This role entails hybrid work with time split between working in our San Francisco CA office and flexibility to telecommute from another U.S. location.
Salary: $194834/year. Apply online at Reference: #HK92
#LI-DNI
Required Experience:
IC
Associate Strategic FinanceEmployer: Accordion Partners LLCJob location: San Francisco CAResponsible for developing predictive models to determine data availability and reliability.Design a structured modeling process to aggregate relevant data sets that will serve as the foundation of all future fi...
Associate Strategic Finance
Employer: Accordion Partners LLC
Job location: San Francisco CA
- Responsible for developing predictive models to determine data availability and reliability.
- Design a structured modeling process to aggregate relevant data sets that will serve as the foundation of all future finance-based reporting.
- Write queries against a variety of databases create data pipelines and develop data-rich business intelligence dashboards. Identify and maintain our business intelligence tools databases and dashboards as well as manage the flow of business intelligence information to clients
- Perform detailed data analysis and extract actionable insights from client datasets and unstructured information sources.
- Develop reporting cadence and automated processes that combine sound data flows and insightful KPIs to generate a monthly Board and management reporting packages.
- Construct impactful reporting packages to enhance key stakeholders understanding of business trends and performance drivers.
- Work with the CFO Sponsor and Operating team to understand business drivers verify KPIs and establish a single source of numerical truth via monthly reporting packages.
- Develop data-driven analysis and prepare forecasts and recommendations for budget plans cash flow and other anecdotes root causes and key corrective themes in clients existing budgeting and forecasting processes.
- Support client engagements by managing workstreams according to agreed timelines producing high-quality outputs and presenting deliverables to clients.
- Develop financial and analytical models at various levels of granularity to deliver operational and transactional insights.
- Conduct in-depth financial and business analysis to support strategic investment and growth decisions.
Requirements:
- Bachelors degree (US or foreign equivalent) in Data Science Statistics Economics or a related field and five (5) years of experience in the position offered Corporate Development Associate Investment Banking Analyst or in a related role.
- Three (3) years of the required experience must have included experience with:
- planning and executing post-acquisition integration including cross-functional coordination and finance process alignment; designing and implementing frameworks for month-end closing and consolidated financial statements; leading budgeting and resource allocation processes followed by variance analysis; analyzing and visualizing heavy data using Excel and Power Query for actionable insights; developing and presenting management reporting packages summarizing key financials and KPIs for executive team members; conducting financial forecasting market research and pricing optimization to support strategic planning; supporting strategic initiatives for C-suite stakeholders including cost optimization through vendor contract negotiations and workstream automation; producing strategic financial plans and building financial models and scenario analyses to align multi-year growth strategies with business and financial objectives; building out and maintaining 13-week cash flow forecasts for clients; consolidating existing financial reporting from disparate systems including adjusting for deviations in accounting policies and procedures to produce a single functioning financial reporting system; and building analytical tools and creating template reporting.
- This role entails hybrid work with time split between working in our San Francisco CA office and flexibility to telecommute from another U.S. location.
Salary: $194834/year. Apply online at Reference: #HK92
#LI-DNI
Required Experience:
IC
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