Strategic Financial Analyst at Thunderbird LLC
Oak Brook, Illinois, United States -
Full Time


Start Date

Immediate

Expiry Date

11 Jun, 26

Salary

105000.0

Posted On

13 Mar, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Modeling, Forecasting, Strategic Analysis, Financial Planning, Scenario Planning, Mergers And Acquisitions, Capital Investments, Cash Flow Forecasting, Liquidity Management, Budgeting, Margin Analysis, Advanced Excel, Data Analysis, Problem-Solving, Transaction Advisory, Financial Diligence

Industry

Capital Markets

Description
Thunderbird Manufacturing LLC is seeking a highly analytical Strategic Finance Analyst to support financial planning, forecasting, and strategic analysis across the organization. This role will play a critical part in financial modeling, forecasting, and evaluating strategic initiatives, including acquisitions and capital investments. This position offers high visibility with executive leadership, including direct exposure to the CEO, and will support key financial decisions that impact the company’s growth and long-term strategy. The role provides an opportunity to work closely with the CEO and VP of Finance on strategic initiatives including acquisitions, capital planning, and financial modeling. The role will involve building financial models used to evaluate strategic investments, acquisitions, and capital allocation decisions. The ideal candidate will have strong financial modeling skills, experience working with complex financial data, and the ability to translate financial analysis into actionable insights for leadership. Key Responsibilities   Financial Modeling & Strategic Analysis * Build and maintain the company’s integrated 3-statement financial model (income statement, balance sheet, and cash flow) to support forecasting, scenario planning, and strategic decision-making * Develop and maintain financial and transaction models to evaluate mergers, acquisitions, and strategic investments * Perform scenario modeling and sensitivity analysis to support executive decision-making * Provide ad hoc financial analysis to support operational and strategic initiatives M&A and Strategic Initiative Support * Support financial analysis and modeling related to potential acquisitions * Assist leadership with deal evaluation, financial diligence, and transaction analysis for potential acquisitions * Assist with M&A diligence, including financial review, data analysis, and integration planning support * Partner with leadership and external advisors during transaction evaluation and diligence processes Cash Flow & Liquidity Management * Build and maintain the company’s 13-week rolling cash flow forecast * Monitor liquidity, working capital trends, and short-term cash needs * Provide periodic cash reporting and variance analysis to leadership Budgeting & Forecasting * Develop and maintain rolling financial forecasts for internal management and lending partners * Support preparation and management of the annual operating plan and capital expenditure budget * Maintain rolling bank and management forecasts aligned with operational performance Pricing & Margin Analysis * Conduct product, customer, and business unit margin analysis * Evaluate pricing strategies and profitability improvement opportunities * Identify financial and operational drivers affecting margin performance Business Partnership * Collaborate with operational leaders to analyze financial performance and provide actionable insights * Support leadership with financial data and analysis required for strategic planning * Prepare financial analysis and materials used in executive and CEO-level discussions Qualifications Required * Bachelor’s degree in Finance, Accounting, Economics, or related field * 2–5 years of experience in FP&A, corporate finance, transaction advisory, consulting, investment banking, or strategic finance * Strong financial modeling and advanced Excel skills * Experience building financial forecasts and financial models * Strong analytical, communication, and problem-solving skills Preferred * Experience supporting M&A analysis, deal evaluation, or transaction diligence * Experience with cash flow forecasting * Familiarity with ERP or financial planning software * MBA, CFA, or CPA a plus Company Overview    At Thunderbird, the collaborative relationship with our parent and partner companies allows us to better serve our customers – now and in the future. The Thunderbird family of American Manufacturing companies is driven by a mission to provide superior products and services, from prototype to delivery. Our dedicated leadership team's enduring vision is to hold and grow our companies to meet the higher needs of our global customers. We are guided by the unified pursuit of excellence, teamwork, and innovation. Thunderbird enables people to grow, companies to soar, and customers to succeed.   Benefits * 401(k) with matching program. * Medical Insurance * Dental Insurance * Vision Insurance * Short Term Disability * Long Term Disability * Life Insurance * Paid Time Off * 9 Paid Holidays Thunderbird is a drug and smoke free work environment and promotes safe work conditions. #TBmanufacturing.
Responsibilities
The role involves building and maintaining integrated financial models for forecasting, scenario planning, and evaluating strategic initiatives like mergers and acquisitions. Key duties also include supporting cash flow management, budgeting, forecasting, and conducting detailed margin analysis across products and business units.
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