Treasury Associate with growing $6+ Billion Private Equity Fund in Houston!
Job Detail
Job Description
Responsibilities:
- Prepare and deliver relevant reports for management (order intake, orders on hand, P&L, profitability, inventory, headcount, productivity, absorption, consumption, etc.)
- Validate standard costing
- Oversee operations investments by reviewing capital expense requests, supporting ROI analysis, and enforcing internal procedures.
- Collaborate with Accounting to complete monthly closing and ensure accuracy.
- Perform consolidated reporting with financial analysis of deviations and variances.
- Ensure the alignment of reporting and procedures with the company standards
- Identify risks and upside/downside exposure
- Recommend and improve business performance measurement procedures and systems
- Perform Ad-Hoc activities including site projects, deployment of new tools, and continuous improvement initiatives.
Qualifications:
- BA in Finance, Accounting, Economics, or related field
- Three plus years of financial analysis and superior financial modeling experience
- Superior Microsoft Excel skills (V Lookups, Pivot Tables, etc.)
- Proven work experience in a quantitatively heavy role with strong quantitative and analytical competency
- Strong understanding of accounting principles
- Highly proficient in spreadsheets, databases, MS Office, and financial software applications
- Proven knowledge of financial forecasting and diagnosis, corporate finance, and information analysis
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