Financial Analyst II
Summary
Independent financial analysis supporting planning, budget analysis, monthly reporting, and quarterly/year-end close in a hybrid setting. Requires a bachelor’s degree or equivalent, 3+ years’ relevant experience, and intermediate Excel plus financial systems/data query tools.
Highlights
- Work Arrangement
- Hybrid
- Experience
- Minimum 3 years of relevant financial analysis or accounting experience
- Education
- Bachelor's degree or equivalent work experience
- Type
- Full-Time
Job description
Title
Financial Analyst (Financial Planning, Budgeting, Operations, Hybrid)
Job Overview
This role supports the Office of Finance and Administration within a large, prestigious organization's central administrative division. You will independently perform financial analysis to assist management with financial planning, budget analysis, and monthly reporting. This office directs financial and strategic planning for numerous central units, institutions, and initiatives across the organization.
Why This Role Stands Out
- Contribute to critical financial and strategic planning for a diverse portfolio of central administrative units and initiatives.
- Gain exposure to comprehensive financial processes, including budget development, reporting, and compliance.
- Play a key role in administrative oversight, organizational reviews, and enterprise system implementation.
- Work within a hybrid model, balancing in-office collaboration with remote flexibility.
Who This Role Is For
- An analytical professional with a Bachelor's degree and at least 3 years of relevant financial experience.
- Someone proficient in financial analysis, budget management, and basic accounting principles.
- A candidate with intermediate Excel skills and experience using financial systems and data query tools.
- An independent worker capable of supporting management with critical financial planning efforts.
What You'll Do
- Perform independent financial analysis to support management decisions.
- Assist with financial planning efforts, including multi-year plans and strategic initiatives.
- Conduct thorough budget analysis and contribute to annual budget development.
- Prepare and present monthly financial reports, ensuring accuracy and timeliness.
- Support quarterly and year-end close processes and accounting compliance.
- Contribute to administrative oversight, including organizational reviews and FTE approvals.
- Participate in the local implementation of new enterprise financial systems.
What We're Looking For
- Bachelor's degree or equivalent work experience.
- Minimum of 3 years of relevant financial analysis or accounting experience.
- Intermediate proficiency with Microsoft Excel and other Office Suite applications.
- Solid working knowledge of budget management, financial analysis, and financial modeling.
- Understanding of basic accounting principles.
- Demonstrated experience utilizing financial systems and data query tools.