Corporate Finance & Strategy, Cash Flow Forecasting

Added
4 minutes ago
Type
Full time
Salary
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Related skills

forecasting sql google sheets financial planning excel

πŸ“‹ Description

  • Own the balance sheet and cash flow forecast: design the model architecture, choose the tooling
  • Partner with Finance & Strategy on the forecast inputs and hand-offs the model depends on, with
  • Deliver free cash flow reporting, a driver-based cash bridge, and scenarios and sensitivities on
  • Integrate the balance sheet and cash flow into the forecast calendar and reporting package, and

🎯 Requirements

  • Have designed and built an integrated three-statement forecast, not just maintained one
  • Have partnered closely with Accounting and Treasury to align forecasts with the close and cash
  • Are highly proficient in Excel/Google Sheets, with expertise in modern financial planning tools
  • Demonstrate excellent communication and storytelling abilities
  • Thrive in fast-paced, dynamic environments and can navigate ambiguity with confidence
  • Possess strong collaboration skills and can build effective partnerships across functions and levels

🎁 Benefits

  • Competitive compensation and benefits
  • Optional equity donation matching
  • Generous vacation and parental leave
  • Flexible working hours
  • Lovely office space in which to collaborate with colleagues
  • Visa sponsorship (we make every reasonable effort to get you a visa, and retain an immigration

πŸ›ƒ Visa sponsorship

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