Our US Partner is a reputable mid-sized New York law firm known for its collaborative culture and business-focused approach, providing full-service legal support across litigation, real estate, corporate law, labor and employment, and intellectual property.
We are looking for a highly analytical and detail-oriented Senior Financial Analyst to support financial planning, reporting, and data analysis for our client. The ideal candidate will have strong experience in budgeting and forecasting, advanced expertise in SQL and Excel, and prior experience working in a law firm environment. This role requires someone who can translate complex financial data into actionable insights and support strategic decision-making.
This is a full-time role, on a US shift, and a work-from-home set-up.
If you have strong technical and financial skills and enjoy working in a data-driven environment, this may be your opportunity to join a growing organization.
DUTIES AND RESPONSIBILITIES:
Develop and maintain financial models to support budgeting, forecasting, and long-term planning.
Perform advanced SQL reporting and analysis related to accounts payable, revenue, and profitability.
Conduct detailed profitability analysis across clients, matters, practice groups, or service lines to identify margin trends and improvement opportunities.
Analyze accounts payable and revenue data to support internal budgeting and forecasting processes.
Create, modify, and maintain SQL queries and automated reports from the companys database.
Automate financial and operational reporting, including scheduled email reporting to stakeholders.
Prepare monthly, quarterly, and annual financial reports, including variance and margin analyses.
Partner with leadership and department heads to support forecasting, budgeting, and financial performance initiatives.
Identify trends, risks, and opportunities through data analysis and provide actionable recommendations.
Ensure the accuracy and integrity of financial data across systems and reports.
Support ad hoc financial analysis and executive-level reporting as needed.
QUALIFICATIONS:
Minimum of 5 years of experience in financial analysis, financial planning, or similar roles.
Preference for candidates with a legal firm background or experience in professional services.
Demonstrated experience performing profitability and margin analysis to support budgeting and strategic decision-making.
Strong expertise in SQL, including the ability to create and modify queries and reports.
Advanced proficiency in Microsoft Excel, including complex formulas, financial modeling, and data analysis.
Proven experience in budgeting, forecasting, accounts payable analysis, and revenue analysis.
Experience automating reports and workflows is highly preferred.
Strong analytical and problem-solving skills with high attention to detail.
Bachelors degree in Finance, Accounting, Economics, or a related field.
KEY SKILLS:
Strong financial modeling and analytical capabilities.
Ability to interpret complex data and communicate insights clearly to stakeholders.
Strong organizational and time management skills with ability to manage multiple priorities.
High level of accuracy and attention to detail.
Strong communication and stakeholder management skills.
Ability to work independently in a fast-paced environment.

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