Senior Financial Analyst, Revenue (Hybrid in Toronto)
at Emburse
Toronto, ON, Canada -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 08 Feb, 2025 | Not Specified | 12 Nov, 2024 | 5 year(s) or above | Good communication skills | No | No |
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Description:
Financial planning and analysis (FP&A) is the budgeting, forecasting and analytical processes that support an organization’s financial health and business strategy. FP&A analysts, managers, and directors are responsible for providing senior management with the financial analysis and information they need to make major operational, financial, and strategic decisions.
Responsibilities:
- Build and maintain complex financial models for all revenue streams (recurring, non-recurring, professional services)
- Own the budgeting, forecasting, and reporting for all revenue streams
- Update and review monthly and quarterly reports
- Compiling data from sources and consolidating them into a consistent format
- Research and analysis variance in monthly accounting reports
- Participate in the yearly annual operating plan process
- Support business with monthly forecasting operating expense and headcount needs
- Identify and actively help functional management control expense levers as appropriate
- Communicate with functional business managers and finance colleagues regarding significant variances from budget/forecast
- Work with peers across the business finance organization to develop trusted relationships that deliver strong interlocks and seamless operational experiences
- Review month-end financial package for individual business units and functional units with written analysis of actuals compared to budget and prior periods
- Interact with leaders in all functional departments to prepare ad-hoc forward-looking analysis with recommendations
- Prepare monthly by customer recurring revenue reporting, including reviewing trends for increase and decrease as well as potential billing issues.
- Review the commission reporting process including data compilation, statement automation, and journal entry preparation
- Align closely with Accounting to assist as necessary and to serve as backup on key functions
- Take the lead in the building of on-demand reporting packages, including key performance indicators, leveraging the existing accounting and CRM system
- Assist in building of annual budgets and quarterly forecasts by working with key stakeholders for inputs and maintaining and improving existing data models
- Creates and maintains a monthly dashboard with key metrics for quick review of our financial performance with explanation to variances.
- Provide comparative industry and competitor financial performance indicates to our company
- #LI-LH1
- #LI-Hybrid
REQUIREMENT SUMMARY
Min:5.0Max:10.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Finance
Graduate
Finance or accounting
Proficient
1
Toronto, ON, Canada