What You'll Do
Prepare and maintain financial models, budgets, and cash flow projections. Analyze the financial performance of the business and explain variances against the budget and forecast. Monitor revenues, costs, margins, profitability, and key financial indicators. Analyze the performance of the leasing portfolio, including collections, delinquency, and payment behavior.
What We're Looking For
Previous experience in financial analysis, FP&A, corporate finance, or similar roles. Excellent proficiency in Excel or Google Sheets and ability to work with large volumes of data. Strong analytical skills and attention to detail. Knowledge of financial statements, cash flow, and profitability metrics.
Additional Information
Experience Level
Mid-Level
Employment Type
permanent
Work Mode
Remote