We are seeking a highly analytical and detail-oriented Financial Analyst to join our growing
team. The ideal candidate will support financial analysis performance reporting valuation work
budgeting forecasting and strategic decision-making. The role requires strong financial
modeling capabilities and the ability to work during US Eastern Time hours.
Requirements
Key Responsibilities
Build and maintain detailed financial models including 3-statement models DCF LBO and valuation models.
Perform financial analysis including profitability liquidity leverage and cash flow assessments.
Prepare monthly quarterly and annual financial performance reports.
Support budgeting forecasting and variance analysis processes.
Conduct company and industry research to support financial insights and decision-making.
Assist in investment evaluation and deal analysis.
Prepare management presentations and investor reporting materials.
Monitor key performance indicators (KPIs) and support operational performance tracking.
Collaborate with senior leadership on strategic financial initiatives.
Monitor KPIs and support operational performance tracking
Work closely with senior leadership on strategic financial initiatives
Required Qualifications
Bachelors or Masters degree in Finance Accounting Economics or a related field.
CFA Level I cleared (mandatory); CFA Level II preferred.
35 years of relevant experience in financial analysis FP&A investment analysis or corporate finance.
Strong financial modeling and valuation skills.
Advanced proficiency in Microsoft Excel (financial modeling scenario analysis).
Strong analytical and problem-solving abilities.
Excellent written and verbal communication skills.
Ability to work independently during US Eastern Time hours.
Preferred Qualifications
Experience working with US-based companies.
Exposure to private equity M&A or investment management.
Familiarity with financial reporting tools and BI dashboards.
Strong understanding of Free Cash Flow analysis.
Key Competencies
High attention to detail
Strong ownership mindset
Effective time management skills
Ability to manage multiple priorities in a fast-paced environment
Professional communication and presentation skills
If youre interested in applying your financial expertise in a dynamic globally connected environment we encourage you to apply.
About the Role We are seeking a highly analytical and detail-oriented Financial Analyst to join our growing team. The ideal candidate will support financial analysis performance reporting valuation work budgeting forecasting and strategic decision-making. The role requires strong financial modeling ...
We are seeking a highly analytical and detail-oriented Financial Analyst to join our growing
team. The ideal candidate will support financial analysis performance reporting valuation work
budgeting forecasting and strategic decision-making. The role requires strong financial
modeling capabilities and the ability to work during US Eastern Time hours.
Requirements
Key Responsibilities
Build and maintain detailed financial models including 3-statement models DCF LBO and valuation models.
Perform financial analysis including profitability liquidity leverage and cash flow assessments.
Prepare monthly quarterly and annual financial performance reports.
Support budgeting forecasting and variance analysis processes.
Conduct company and industry research to support financial insights and decision-making.
Assist in investment evaluation and deal analysis.
Prepare management presentations and investor reporting materials.
Monitor key performance indicators (KPIs) and support operational performance tracking.
Collaborate with senior leadership on strategic financial initiatives.
Monitor KPIs and support operational performance tracking
Work closely with senior leadership on strategic financial initiatives
Required Qualifications
Bachelors or Masters degree in Finance Accounting Economics or a related field.
CFA Level I cleared (mandatory); CFA Level II preferred.
35 years of relevant experience in financial analysis FP&A investment analysis or corporate finance.
Strong financial modeling and valuation skills.
Advanced proficiency in Microsoft Excel (financial modeling scenario analysis).
Strong analytical and problem-solving abilities.
Excellent written and verbal communication skills.
Ability to work independently during US Eastern Time hours.
Preferred Qualifications
Experience working with US-based companies.
Exposure to private equity M&A or investment management.
Familiarity with financial reporting tools and BI dashboards.
Strong understanding of Free Cash Flow analysis.
Key Competencies
High attention to detail
Strong ownership mindset
Effective time management skills
Ability to manage multiple priorities in a fast-paced environment
Professional communication and presentation skills
If youre interested in applying your financial expertise in a dynamic globally connected environment we encourage you to apply.
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