CASH FLOW MODELING AND FORECASTING PROFESSIONAL - [Y179]

Bebeefinancial


Senior Financial Analyst: Leading Cash Flow Modeling and Forecasting Expert Develop high-impact financial models to drive strategic planning, sales forecasting, and executive reporting. You will be responsible for: - Creating dynamic Excel-based models to support business decisions. - Forecasting cash flows (weekly, monthly, quarterly, and annually). - Analyzing sales, margins, and inventory performance. - Building scenario models to evaluate risk and investment options. Required Skills and Qualifications: - Bachelor's degree in Finance, Accounting, Economics, or related field. - 3+ years of experience in FP&A;, corporate finance, or financial modeling. - Advanced Excel skills required (nested formulas, pivot tables, macros, scenario modeling, etc.). - Demonstrated expertise in cash flow modeling and forecasting. - Strong analytical and communication skills. Benefits: - 100% remote work environment. - High exposure and collaboration with senior leadership. - Real impact on key business decisions. - Learning-driven culture with opportunities for growth. This is a unique opportunity to leverage your analytical skills and drive business growth. Apply now to take the next step in your career.

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