Senior Credit Analyst: Cash Flow & Risk Leader

Leprino Foods Company

Denver (CO)

On-site

USD 85,000 - 95,000

Full time

14 days+
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Benefits offered by this job

LFC Profit-Sharing & 401(k) plan
401(k)

Job summary

Leprino Foods Company, based in Denver, is seeking a Senior Credit Analyst to manage credit risk and AR for major customers. You will evaluate financials, set credit terms, and coordinate with Sales, AR, and other teams to protect cash flow.

The role requires strong analysis, communication, and Excel skills, with a focus on risk mitigation and portfolio management in a large corporate environment.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field.
  • Five years of progressive experience in commercial credit analysis or related field.
  • Experience independently analyzing and spreading business financial statements.
  • Strong knowledge of financial-statement analysis including cash flow, liquidity, leverage, and trends.
  • Experience developing credit or risk recommendations for management.

Responsibilities

  • Analyze and spread financial statements to evaluate liquidity and creditworthiness.
  • Evaluate financial strength of customers and recommend credit limits and terms.
  • Prepare clear credit analyses and recommendations for management.
  • Support a portfolio of ~100 customers with ongoing financial oversight.
  • Monitor receivables and identify past-due balances and risks.
  • Lead collection efforts to resolve past-due accounts.

Skills

Credit analysis
Cash flow analysis
Excel PivotTables
Portfolio management
Communication

Education

Bachelor's degree in Finance/Accounting

Tools

SAP

Job description

Leprino Foods Company, based in Denver, is seeking a Senior Credit Analyst to manage credit risk and AR for major customers. You will evaluate financials, set credit terms, and coordinate with Sales, AR, and other teams to protect cash flow.

The role requires strong analysis, communication, and Excel skills, with a focus on risk mitigation and portfolio management in a large corporate environment.

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