Financial & Accounting, Senior Analyst

Attindas Hygiene Partners

Raleigh (NC)

On-site

USD 90,000 - 130,000

Full time

14 days+

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Job summary

Attindas Hygiene Partners is seeking an experienced finance professional to lead consolidation and reporting under US GAAP, bridging FP&A and Accounting, and supporting external audits. You will manage treasury activities, CapEx analysis, and cross-functional budgeting with department heads to ensure accurate, timely financial results.

The role requires 5–7 years in blended accounting/finance, a Bachelor’s in Accounting or Finance, and strong Excel/ERP and data visualization skills.

Qualifications

  • Bachelor's degree in Accounting or Finance required.
  • 5–7 years of progressive experience in blended Accounting and Finance roles; manufacturing or consumer goods experience is a plus.
  • Strong command of US GAAP and technical accounting principles; advanced Excel modeling.
  • Experience with data visualization tools (Power BI, Tableau) and automated reporting; ERP systems knowledge (Oracle, OneStream, SAP).

Responsibilities

  • Support monthly, quarterly, and year-end consolidation of financial statements per US GAAP.
  • Bridge FP&A and Accounting; ensure actual results are recorded accurately and variances explained.
  • Assist in preparation of legal and financial filings with internal controls.
  • Serve as the primary contact for external auditors during quarterly and annual reviews.
  • Manage treasury and liquidity; daily cash positioning and short-term forecasting.
  • Monitor debt obligations, interest payments, and borrowing base certificates.
  • Track banking covenants and alert leadership to compliance risks.
  • Coordinate with tax providers for tax provision reviews and data collection.
  • Lead CapEx analysis and budgeting; validate inputs with department heads.

Skills

Analytical
Communication
Ownership
US GAAP

Education

Bachelor's Degree in Accounting or Finance

Tools

Excel (Modeling)
Oracle
OneStream
SAP
Power BI
Tableau

Job description

  • Support the monthly, quarterly, and year-end consolidation of financial statements in accordance with US GAAP.
  • Bridge the gap between FP&A and Accounting by ensuring actual results are accurately recorded and variances are clearly explained.
  • Assist in the preparation of legal and financial filings, ensuring compliance with internal controls and accounting manuals.
  • Serve as a point of contact for external auditors to facilitate smooth quarterly and annual review activities.
  • Treasury & Liquidity Management
  • Manage daily cash positioning and short-term liquidity forecasting to ensure optimal working capital.
  • Monitor debt obligations, including interest payments, principal rollovers, and the preparation of Borrowing Base Certificates.
  • Track and report on banking covenants, proactively alerting leadership to potential compliance risks.
  • Coordinate with tax providers and internal teams to support tax provision reviews and compliance data collection.
  • Strategic FP&A & CapEx Management
  • Lead the analysis of Capital Expenditure (CapEx), comparing actual spend against multi-year forecasts for major initiatives ($500K+).
  • Facilitate the budgeting and forecasting process by collaborating with department heads to validate assumptions and inputs.
  • Develop and maintain financial models that integrate P&L, Balance Sheet, and Cash Flow impacts.
  • Business Intelligence & Process Automation
  • Design and manage automated dashboards (Power BI/Tableau) to track financial KPIs and operational metrics.
  • Audit large datasets to resolve discrepancies and ensure data integrity across ERP and reporting platforms.
  • Present actionable insights to senior leadership that drive cost-saving initiatives and operational efficiency.
Key Responsibilities
  • Support the monthly, quarterly, and year-end consolidation of financial statements in accordance with US GAAP.
  • Bridge the gap between FP&A and Accounting by ensuring actual results are accurately recorded and variances are clearly explained.
  • Assist in the preparation of legal and financial filings, ensuring compliance with internal controls and accounting manuals.
  • Serve as a point of contact for external auditors to facilitate smooth quarterly and annual review activities.
  • Treasury & Liquidity Management
  • Manage daily cash positioning and short-term liquidity forecasting to ensure optimal working capital.
  • Monitor debt obligations, including interest payments, principal rollovers, and the preparation of Borrowing Base Certificates.
  • Track and report on banking covenants, proactively alerting leadership to potential compliance risks.
  • Coordinate with tax providers and internal teams to support tax provision reviews and compliance data collection.
  • Strategic FP&A & CapEx Management
  • Lead the analysis of Capital Expenditure (CapEx), comparing actual spend against multi-year forecasts for major initiatives ($500K+).
  • Facilitate the budgeting and forecasting process by collaborating with department heads to validate assumptions and inputs.
  • Develop and maintain financial models that integrate P&L, Balance Sheet, and Cash Flow impacts.
  • Business Intelligence & Process Automation
  • Design and manage automated dashboards (Power BI/Tableau) to track financial KPIs and operational metrics.
  • Audit large datasets to resolve discrepancies and ensure data integrity across ERP and reporting platforms.
  • Present actionable insights to senior leadership that drive cost-saving initiatives and operational efficiency.
Qualifications
Education & Experience
  • Bachelor’s Degree in Accounting or Finance
  • 5–7 years of progressive experience in a blended Accounting and Finance role (Manufacturing or Consumer Goods experience is a plus).
  • CPA or CMA certification is highly preferred.
Technical Skills
  • Advanced proficiency in Microsoft Excel (modeling) and ERP systems (Oracle, OneStream, or SAP).
  • Strong command of US GAAP and technical accounting principles.
  • Experience with Data Visualization tools (Power BI, Tableau) and automated reporting.
Core Competencies
  • Analytical Rigor: Ability to find the "story" behind the numbers.
  • Communication: Comfortable presenting complex financial data to non-finance stakeholders.
  • Ownership: A self-starter who can manage multiple deadlines across Treasury, Accounting, and FP&A cycles.
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