We are looking for a proactive Principal analyst with a strong background in financial planning and analysis, ideally within high-growth industries such as fintech, or roles at consulting, investment banking and VC/PE. This is an exciting opportunity to leverage your analytical skills and help shape Stori’s financial strategy in a fast-paced, innovative environment.
Educational Background: Bachelor’s degree in Finance, Economics, Accounting, or a related field. Advanced degrees or certifications (e.g., MBA, CFA) are a plus.
Experience: 6+ years in FP&A, finance, strategy, or similar analytical roles, with a preference for experience in fintech, technology, or other high-growth sectors.
Financial Modeling Expertise: Advanced proficiency in financial modeling and forecasting, with strong Excel skills and familiarity with financial systems (e.g., Adaptive Insights, Oracle, SAP, Anaplan). Pigment will be a plus.
Analytical Mindset: Exceptional analytical skills with a data-driven approach to problem-solving; capable of translating complex financial data into clear, actionable insights.
Communication Skills: Strong written and verbal communication skills, with the ability to present financial results and insights clearly to senior stakeholders.
Attention to Detail and Accuracy: Detail-oriented with a commitment to accuracy in financial reporting and analysis.
Collaboration and Interpersonal Skills: Comfortable working cross-functionally, building strong relationships with finance and non-finance teams alike.
Language: Fluency in English and Spanish is required.
Financial Forecasting and Modeling: Build and maintain detailed financial models to forecast revenue, expenses, and cash flow, supporting key financial planning activities and strategic decision-making.
Variance Analysis and Performance Tracking: Conduct variance analysis to monitor actual performance against forecasts and budgets, identifying key drivers and providing insights into trends and variances.
Scenario Building and Sensitivity Analysis: Develop scenario-based models and conduct sensitivity analysis to assess financial outcomes under different assumptions, supporting risk assessment and informed decision-making by senior leadership.
Monthly and Quarterly Reporting: Prepare monthly and quarterly financial reports, offering insights into Stori’s performance and helping guide decision-making for the finance and leadership teams.
Cross-Functional Collaboration: Partner with business leaders across the organization to understand financial drivers and ensure alignment on strategic priorities, providing financial guidance and support.
Data-Driven Insights: Use data to analyze financial performance, generate actionable insights, and communicate findings clearly to senior stakeholders, highlighting opportunities for growth and efficiency.
Budgeting and Planning: Support annual budgeting and planning processes, contributing to the creation of comprehensive, accurate forecasts that align with Stori’s growth targets and strategic priorities.
Continuous Improvement: Identify opportunities to enhance financial planning processes, including improvements to modeling, reporting, and data accuracy, to ensure robust and efficient financial management.
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