Offer summary
Qualifications:
3+ years experience in Treasury or Strategic Finance, Experience at a growth-stage startup preferred, Expert financial modeling skills and Excel proficiency, Demonstrated financial analysis skills, Bachelor’s Degree in Finance or Accounting preferred.
Key responsabilities:
- Support financial planning and forecasting processes
- Build complex financial models for capital optimization
- Support budgeting and long-term planning activities
- Generate business insights and report on performance
- Collaborate with multiple teams to drive financial reporting