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Strategic Finance Associate

Posted 2024-10-15

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💎 Seniority level: Junior, 2 - 4 years

📍 Location: Chicago, IL, Denver, CO, San Francisco, CA

💸 Salary: $100,000 - $120,000 per year

🔍 Industry: Finance and technology

⏳ Experience: 2 - 4 years

🪄 Skills: Data AnalysisStrategyFinancial ManagementData analysisCommunication SkillsAnalytical SkillsCollaborationMicrosoft Excel

Requirements:
  • 2 - 4 years of Finance experience within a high growth technology environment, investment banking, private equity, corporate finance and / or corporate strategy.
  • MBA and / or CFA (designation or in progress) a plus.
  • Sound understanding of financial statements and financial theory.
  • Advanced Excel skills and data-driven approach to solving complex financial decisions, with very strong attention to detail.
  • A critical thinker who can clearly articulate color commentary around a number, and make sound and data-supported recommendations/conclusions.
  • Experience with data visualization and financial reporting tools such as Looker, Datarails, NetSuite, Microsoft Office and Google Suite products.
  • Strong sense of ownership in work quality and continuous improvement, with past demonstration of independent work management.
Responsibilities:
  • Partner with key stakeholders throughout the organization to create financial visibility and apply sound financial theory to assist in setting business priorities.
  • Create and structure financial models needed in support of greenfield product initiatives as well as scale core offerings.
  • Think strategically and leverage analysis from models to aid in decision making.
  • Ensure and validate efficient capital deployment across operating departments and adequate capital management for the business.
  • Work closely with the Accounting function to anchor to 'actuals' and identify trends surfacing in the financials.
  • Assist in conducting ad-hoc analysis and preparing recurring reporting deliverables with cross-functional teams and management presentations.
  • Support a variety of investor, capital investment and planning and Board reporting deliverables.
  • Capture the entirety of financial implications across Caribou’s P&L, balance sheet and cash position.
  • Continuously develop, innovate and elevate analysis and reporting to the company’s key stakeholders.
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