What you will do:
- Develop core financial analyses for the company, including P&L modeling, unit economics analyses, and definition of company KPI
- Help run cross functional process and monthly financial reviews with senior company leaders, with an emphasis on clean presentations and clear communication
- Maintain our revenue model and develop analytical models to guide the company’s growth trajectory
- Optimize financial KPIs and build a financial metrics dashboard to update the Executive team and improve internal communication and transparency
- Lead special projects and market research by partnering with various stakeholders to improve the financial health of the company
- Support our annual planning process and key Board of Directors material preparation
Qualifications:
- 6-8 years of experience in investment banking, investing/consulting, or finance at a high-growth startup
- Strong quantitative skills and mastery of Excel, SQL, or other BI/analytics tools are a plus
- Experience working with US or multinational companies
- Attention to fine detail, with crisp presentation capabilities
- Desire to execute in a fast-paced environment, with a penchant for learning
- Open to occasional travel for key company events and meetings
Note: In a start-up environment, attention to detail and accuracy are crucial as there are no layers to double-check work, and it must be correct.