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Benefits offered by this job
Professional development opportunities
Work-life balance
Flexible work hours
Vacation time
Bonus scheme
Healthcare package
Pension plans
Job summary
KWRI in Austin, TX is seeking a Financial Analyst to partner with multiple teams, delivering financial analysis, projections, and strategic recommendations to drive performance and growth. You will manage budgets, consolidate plans for corporate reporting, build financial models, forecast performance, and advise on resource allocation. Ideal: Finance/Economics/Accounting degree, MBA preferred, 2–3 years' experience, excellent Excel, and strong communication.
Qualifications
Bachelor's degree in Finance, Economics, Accounting, or related field required.
MBA or advanced degree in finance would be an advantage.
2–3 years of experience in a similar role, ideally in a fast-paced, agile corporate environment.
Proven ability to handle multiple projects and meet deadlines.
Strong communication skills and ability to distill complex information.
Must be a problem solver and propose viable solutions.
Responsibilities
Clocking in regular financial analysis on current and future financial plans and forecasts to understand and communicate the impact on the business.
Partnering with business units to prepare budgets and consolidate them for corporate reporting.
Executing, monitoring, and managing financial modeling and measure/forecast performance with operating plans.
Advising management on resource allocation and forecasting for projects.
Providing insights to senior management around financial modeling, forecasts, and profitability.
Skills
Excel skills
Financial analysis
Communication
Problem solving
Multitasking
Education
Bachelor's degree in Finance/Economics/Accounting
MBA or advanced finance degree
Tools
Excel
Job description
KWRI in Austin, TX is seeking a Financial Analyst to partner with multiple teams, delivering financial analysis, projections, and strategic recommendations to drive performance and growth. You will manage budgets, consolidate plans for corporate reporting, build financial models, forecast performance, and advise on resource allocation. Ideal: Finance/Economics/Accounting degree, MBA preferred, 2–3 years' experience, excellent Excel, and strong communication.