Our financial services client is seeking a a highly motivated finance professional to join their Corporate Finance team. This role plays a key part in driving the company’s financial planning, analysis, and strategic decision-making processes, with direct exposure to senior leadership and other key stakeholders.
What You’ll Do
- Develop and maintain corporate, department, and project-level earnings and cash flow forecasts.
- Analyze key business drivers and financial trends to inform decision-making.
- Support the annual budgeting process and track resource utilization across business units.
- Contribute to the quarterly close process, focusing on performance and fundraising reporting.
- Prepare financial materials for lenders, rating agencies, and other financing activities.
- Build and maintain detailed financial models to forecast performance and evaluate new business opportunities.
- Analyze profitability, margins, and expense allocations across the business.
- Prepare financial reports and presentations for the Board of Directors and other key stakeholders.
What We’re Looking For
- 6–8 years of experience in corporate finance, FP&A, accounting, investment banking, or consulting.
- Strong analytical and problem-solving skills with exceptional attention to detail.
- Experience building and maintaining complex financial models.
- Solid understanding of financial statements and accounting principles.
- Advanced Excel skills; familiarity with other FP&A tools is a plus.
- Strong communication skills and the ability to collaborate across teams and present insights clearly.