THE TEAM YOU WILL BE JOINING:
- Industry leading organization with a strategic focus in digital innovation
- Company with a national footprint and multi-billion annual revenue stream
- Growth oriented plan in coming years via organic growth and M&A
- Customer-centric approach that has led to continuous success
WHAT THEY OFFER YOU:
- Executive Leadership that is highly engaged offering both experience and knowledge in a collaborative setting
- Ability to drive change with full ownership as a strategic leader with support and trust of executive team
- Dynamic employees with great morale, low turnover while offering growth opportunities
WHY THIS ROLE IS IMPORTANT:
- Strong modeling expertise with experience running different scenarios through cash flow models
- Advanced Excel skills, comfortable working with multiple tabs and large datasets.
- Variance reporting and analysis capabilities to track cash flow fluctuations.
- Attention to detail and strong follow-up skills, especially as the team continues to learn vendor behaviors and payment terms.
- Ability to gather intel from the business and regularly update models to support exit financing.
- Background in Treasury and/or FP&A, with an understanding of cash inflows and outflows.
- You will work closely with other departments daily such as FP&A, Investor Relations, Shared Services, Operations, etc.
- You will identify cash flow generation opportunities and evaluate borrowing needs among other ongoing treasury functions critical to ensure the success of the business
THE BACKGROUND THAT FITS:
- A Bachelors degree in Accounting or Finance
- 5+ years of experience in financial analysis, corporate finance, FP&A, or Treasury
- Master's Degree or other advanced certification is a plus
- Ambitious mindset to seize opportunity of advancement and ownership of process improvement related projects
- Strong Excel and Modeling experience