Hybrid Financial Analyst: Program Finance for Government

Serco

Herndon (VA)

Hybrid

USD 70,000 - 100,000

Full time

14 days+
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Benefits offered by this job

Hybrid work arrangement
Competitive benefits

Job summary

Serco seeks a Financial Analyst to manage full lifecycle program finances for the Software Integration portfolio in Newport, RI. The role is hybrid and requires strong Excel and accounting knowledge, with a focus on program control across diverse contract types.

The candidate will develop cost baselines, support billing and accruals, and liaison with contracts, accounting, and PMO to ensure timely, accurate financial reporting.

Qualifications

  • Bachelor's degree required.
  • US Citizenship required.
  • Minimum 2 years progressive experience in related field.
  • Knowledge of contract vehicles (CPAF, CPFF, LOE, FPLOE, FFP, T&M, IDIQs).
  • GAAP/IFRS accounting principles knowledge.
  • Advanced proficiency in MS Excel.

Responsibilities

  • Provide cost, schedule and funding planning, reporting, monitoring and analysis support to Program Managers including WBS, BOEs and time-phased budgets/EACs and schedules.
  • Responsible for timely, comprehensive, and accurate monthly P&L close process.
  • Support monthly business rhythms of program and finance organizations; participate in reviews.
  • Administer formal program control per GAAP, policies, and regulations.
  • Support accounts receivable during billing processing with invoice backup as required.
  • Monitor billing status and unbilled issues; coordinate with Contracts, Accounting and PMO.

Skills

Financial analysis
Program control
Multitasking
Team collaboration

Education

Bachelor's degree

Tools

MS Excel

Job description

Serco seeks a Financial Analyst to manage full lifecycle program finances for the Software Integration portfolio in Newport, RI. The role is hybrid and requires strong Excel and accounting knowledge, with a focus on program control across diverse contract types.

The candidate will develop cost baselines, support billing and accruals, and liaison with contracts, accounting, and PMO to ensure timely, accurate financial reporting.

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