Financial Analyst | Remote | Full-Time | Eastern Time
Remote | 40 hours/week | Eastern Time
We are currently recruiting for a Financial Analyst opportunity with a growing organisation looking for a highly analytical finance professional to support financial planning, modelling, forecasting, and strategic decision-making.
This is a hands-on role suited to someone who enjoys working with financial data, building models, identifying business trends, and translating analysis into meaningful insights for leadership.
The Role
You’ll work across:
Financial Modelling & Forecasting
- Build and maintain dynamic financial models, including DCF, three-statement, and scenario/sensitivity models.
- Develop revenue, expense, cash flow, and capital allocation forecasts.
- Evaluate assumptions and identify key financial drivers and risks.
FP&A & Performance Analysis
- Support annual budgeting, quarterly forecasting, and monthly financial reviews.
- Analyze budget-to-actual performance and identify trends, variances, and opportunities.
- Track financial and operational KPIs and provide actionable insights.
Management Reporting
- Prepare executive-level reports, dashboards, presentations, and KPI reporting.
- Translate complex financial and operational data into clear insights for senior leadership.
- Support management and board-level decision-making through accurate financial analysis.
Strategic & Commercial Analysis
- Analyze unit economics, pricing, margins, profitability, and ROI.
- Evaluate operational performance and identify opportunities for growth and cost optimisation.
- Partner with business leaders to support commercial and strategic decisions.
Data & Process Improvement
- Improve financial reporting and data collection processes.
- Automate recurring reporting workflows and improve data integrity.
- Work across financial and business systems to improve reporting efficiency.
What We’re Looking For
- Bachelor’s degree in Finance, Accounting, Economics, or a related quantitative discipline.
- 1–3+ years of experience in FP&A, corporate finance, financial analysis, investment banking, financial consulting, or a related field.
- Advanced Excel modelling skills, including complex formulas, financial functions, PivotTables, Power Query, and scenario modelling.
- Demonstrated experience with financial modelling, ideally including DCF and three-statement models.
- Strong budgeting, forecasting, and variance analysis experience.
- Working knowledge of Power BI, Tableau, or similar BI tools.
- Experience with ERP or FP&A systems such as NetSuite, Adaptive Planning, or similar platforms.
- Strong quantitative and analytical capability.
- Excellent communication skills and the ability to explain financial concepts to non-finance stakeholders.
- CFA candidacy or progress toward a professional finance qualification is advantageous.
What Makes This Opportunity Interesting
This is not a purely reporting or accounting-focused position.
The successful candidate will have the opportunity to work at the intersection of financial analysis, FP&A, modelling, and business strategy, with their work directly supporting management decision-making.
If you are a finance professional with strong modelling and FP&A experience and are looking for a role where your analysis can directly influence business decisions, I’d be interested in speaking with you.
