Financial Analyst: Strategic FP&A for Impactful Projects

Skanska USA

Parsippany-Troy Hills (NJ)

On-site

USD 85,000 - 95,000

Full time

14 days+
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Benefits offered by this job

Health insurance
401k
Employee ownership program

Job summary

Skanska USA is seeking a Financial Analyst to partner with the finance team on forecasting, budgeting, and in-depth financial analysis. You will review data for accuracy and assist in presenting it to leadership, while supporting supplemental reporting and the preparation of financial statements for CFO and stakeholders.

The role also covers preparing joint venture statements, journal entries, and reconciliations, plus coordinating Audit PBC items with auditors, ensuring accuracy and timeliness

Qualifications

  • Minimum of 5 years of Finance and Accounting related experience.
  • Bachelor’s Degree or 8 years equivalent experience plus minimum 3 years prior relevant experience.
  • MBA or CPA a plus

Responsibilities

  • The Financial Analyst will serve as a trusted finance business partner, providing forecasting and budgeting assistance, financial analysis, and review of financial data for accuracy and presentation.
  • This role prepares supplemental reporting as needed and supports the preparation of financial statements and reports for AB, the CFO, and stakeholders within the business.
  • Responsibilities also include preparing full financial statements for joint ventures and smaller entities, developing journal entries, reconciling accruals, prepaids, and reserve balance sheet accounts, and coordinating Audit PBC items and information exchange with auditors.

Education

Bachelor’s Degree or 8 years equivalent

Job description

Skanska USA is seeking a Financial Analyst to partner with the finance team on forecasting, budgeting, and in-depth financial analysis. You will review data for accuracy and assist in presenting it to leadership, while supporting supplemental reporting and the preparation of financial statements for CFO and stakeholders.

The role also covers preparing joint venture statements, journal entries, and reconciliations, plus coordinating Audit PBC items with auditors, ensuring accuracy and timeliness

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