*Client is a private equity firm.
Key Responsibilities:
Strategic and Financial Analysis:
- Develop, articulate, and present business, financial, and strategic analyses and recommendations to stakeholders across the organization.
- Collaborate with business units to identify and evaluate growth opportunities, cost optimizations, and efficiency improvements.
- Conduct in-depth analyses of financial trends, market conditions, and competitive positioning to inform decision-making.
Treasury and Corporate Financial Management:
- Support leadership in making informed treasury and financial management decisions.
- Monitor cash flow, liquidity, and capital structure to ensure financial stability and alignment with strategic goals.
- Evaluate and recommend optimal capital allocation strategies, including debt and equity considerations.
Financial Planning and Reporting:
- Perform core financial planning activities, including budgeting, forecasting, and long-term planning.
- Prepare and deliver key management reports, ensuring accuracy, clarity, and relevance for decision-making.
- Collaborate with cross-functional teams to create consolidated financial forecasts and budgets.
Performance and Risk Analysis:
- Create and analyze financial plans and forecasts, highlighting key issues, trends, and variances.
- Conduct in-depth analyses of business performance, identifying risks and opportunities to guide strategic initiatives.
- Work closely with stakeholders to develop action plans addressing identified risks or capitalizing on opportunities.
Process Improvement and Collaboration:
- Enhance financial planning processes and tools to improve efficiency and accuracy.
- Partner with finance, operations, and strategy teams to drive alignment and improve organizational performance.
- Act as a key liaison between finance and other departments, fostering collaboration and knowledge sharing.
Qualifications:
- Bachelor's degree in finance, economics, business administration, or a related field; advanced degree (MBA, CFA) preferred.
- 2-5 years of experience in financial planning, corporate finance, or strategic consulting roles.
- Strong analytical and problem-solving skills, with proficiency in financial modeling and data visualization tools (Excel, Power BI, Tableau, etc.).
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