The ideal candidate will be responsible for managing multiple financial analysis projects at the same time. At month end, you will be responsible for budget, projection, and actual variance commentary. This position will be working on-site Monday-Thursday, with a remote option on Fridays.
Responsibilities
Prepare monthly financial statements: P&L, Income (revenue & costs), balance sheets and cash flow
Accurately update systems to actual results, forecasts, and budgets
Analyze and provide commentary on variances
Communicate with cross-functional teams on forecasting
Willing to work onsite in Atlanta, GA 30310
Qualifications
Bachelor's degree or equivalent in Finance or Accounting
2+ years' of relevant experience
Advanced skills in Microsoft Excel
Strong financial modeling