Hybrid Financial Analyst - GAAP, KPI Reporting & Budgeting

The GRAMMY Museum

Los Angeles (CA)

Hybrid

USD 73,000 - 81,000

Full time

14 days+
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Benefits offered by this job

Benefits package

Job summary

The GRAMMY Museum is seeking a Financial Analyst in a hybrid role based in Los Angeles. The successful candidate will ensure GAAP-compliant financial data entry, provide timely reporting, and support department projects.

You will participate in monthly closes, develop performance metrics with department heads, and prepare KPI reports for senior management. Responsibilities include reviewing revenue contracts, assisting with cash forecasting, budgeting, audits, and tax returns, while delivering

Qualifications

  • Bachelor’s degree in accounting, finance, economics or related business field.
  • 5+ years of general accounting experience.
  • 3+ years of financial reporting experience.
  • Strong knowledge of GAAP and internal controls.
  • Proficient Excel and data analysis abilities.
  • Knowledge of Financial Edge or similar accounting system.

Responsibilities

  • Participate in monthly close with emphasis on revenue areas.
  • Develop and track performance metrics with department heads.
  • Prepare monthly KPI revenue report and present results.
  • Review revenue contracts for compliance with policies.
  • Provide reports to management upon request.
  • Assist with monthly and annual close.
  • Assist with cash forecasting and tax filings.
  • Assist with annual audit & tax return preparation.
  • Prepare and record journal entries.
  • Assist with budget and forecasting.

Skills

Verbal and written communication
Attention to detail
Administrative skills
Multi-tasking under deadlines
Customer service mindset

Education

Bachelor’s degree in accounting, finance, economics or related business field

Tools

Excel
Financial Edge
Data analytics software

Job description

The GRAMMY Museum is seeking a Financial Analyst in a hybrid role based in Los Angeles. The successful candidate will ensure GAAP-compliant financial data entry, provide timely reporting, and support department projects.

You will participate in monthly closes, develop performance metrics with department heads, and prepare KPI reports for senior management. Responsibilities include reviewing revenue contracts, assisting with cash forecasting, budgeting, audits, and tax returns, while delivering

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