We’re looking for a tech-savvy, Excel power user with strong analytical instincts and deep experience in financial modeling to join our team as a Senior Financial Analyst. This role is central to our strategic planning, cash flow forecasting, inventory investment decisions, and executive reporting.
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or related field; CFA, CPA, or MBA is a plus.
- 3+ years of experience in FP&A, corporate finance, or financial modeling.
- Advanced Excel skills required (nested formulas, pivot tables, macros, scenario modeling, etc.).
Benefits
- 100% Remote – Work from anywhere while staying fully connected with a high-performing, global team.
- High Exposure – Collaborate directly with senior leadership and gain visibility across departments.
- Real Impact – Your models and insights will drive key business decisions, from investment strategies to sales planning.
- Learning-Driven Culture – We value curiosity and growth. You’ll have opportunities to sharpen your skills in forecasting, strategy, and cross-functional collaboration.
- Fast-Paced, High-Growth Environment – Be part of a company that’s scaling quickly and embraces innovation in finance.
- Ownership & Autonomy – This isn’t just a reporting role—you’ll have end-to-end ownership of critical modeling functions.