We are looking for a Corporate Financial Analyst to join the team.
The right person:
Will have experience preparing budgets, collecting financial information to review and recorded the transactions each month, Intra-grouped cash reconciliations, performed adjustment entries on accounts and issued refunds.
Past experience analyzing financial activities using Excel modeling (VLOOKUP, Pivot Tables, Formulas, etc Experience communicating feedback analysis to the manager and client, noting progress, risks, failures, and challenges of the billing system to ensure correct information for risk modeling.
Perform structured analysis; conduct data mining; identify, clarify, and investigate discrepancies and exceptions; proactively develop solutions and processes
Maintain, reconcile, review, combine, and validate financial data sets and accounts, utilizing financial reports, financial databases, and key financial information.
Run and analyze financial reports, often from multiple systems; assist in preparation of management information reports.
2 years of corporate experience in an analysis role
Some accounting knowledge
Excel (pivot tables and lookup