Job Description:
• Master the application of advanced Excel functions such as Pivot Tables, Macros, and advanced formulas for detailed financial analysis and modeling
• Develop and manage financial projections using both top-down and bottom-up approaches
• Conduct financial analyses including MRR, LTV, CAC calculations, and basic cohort analysis
• Prepare comprehensive financial statements such as P&L, Balance Sheets, and Cash Flow Statements
• Support monthly, quarterly, and annual financial closing processes for clients, ensuring accuracy and compliance
• Collaborate on financial planning and analysis tasks including budgeting and forecasting
• Communicate effectively with clients and team members to manage financial data and project statuses across multiple platforms (Slack, Clickup, etc)
Requirements:
• Bachelor’s Degree in Business Administration, Finance, Economics, or a related field
• At least three years of relevant experience in financial analysis, project management, and business process analytics
• Proficiency in Excel and familiarity with BI tools (Python, R, SQL, and Microsoft BI are pluses)
• Exceptional analytical, problem-solving, and organizational skills
• Strong interpersonal and communication skills, capable of working effectively with cross-functional teams
• Experience with early to mid-stage startups preferred
Benefits:
• The opportunity to work within an unbeatable company culture
• Exposure to diverse financial scenarios and business models, facilitating rapid professional growth
• Competitive compensation and benefits package
• Opportunities for personal and professional development in a supportive environment