Atlantic Group
Weve partnered with a rapidly growing, PE-backed organization in Boston that is looking to add a Financial Analyst to their team. This role is ideal for someone who thrives in an entrepreneurial, high-growth environment and wants direct access to senior leadership. Youll play a key part in shaping financial insights, supporting strategic decision-making, and helping guide the company through its next phase of expansion.
Key Responsibilities: Financial Modeling & Analysis: Build and maintain complex Excel models to support budgeting, forecasting, scenario analysis, and valuation work Strategic Insights: Evaluate financial and operational metrics to uncover trends and influence key business decisions Leadership Support: Work closely with the Founder and leadership team on strategic planning, board preparation, operational improvements, and growth initiatives Investor & Board Reporting: Assist with the creation of reporting packages, presentations, and materials for investors and board meetings Business Performance Tracking: Monitor KPIs, operational performance, and financial results, providing recommendations for improvement Ad-Hoc Projects: Support special analyses related to pricing, market expansion, M&A evaluation, and investment opportunities
Qualifications: Bachelors degree required with a 3.5+ GPA from an accredited institution Advanced Excel skills and strong financial modeling experience (pivot tables, lookups, sensitivity analysis, scenario building, etc.) 13 years of experience in finance, accounting, FP&A, consulting, investment analysis, or related fields Strong analytical, quantitative, and problem-solving abilities Comfort working in a fast-paced, dynamic environment with changing priorities Ability to communicate insights clearly and collaborate across teams Highly motivated, proactive, and excited to work in a PE-backed growth setting Boston-based candidates only; hybrid work schedule
This is an exceptional opportunity for someone early in their career who wants hands-on exposure to private equity, leadership, and impactful business decisions.
Key Responsibilities: Financial Modeling & Analysis: Build and maintain complex Excel models to support budgeting, forecasting, scenario analysis, and valuation work Strategic Insights: Evaluate financial and operational metrics to uncover trends and influence key business decisions Leadership Support: Work closely with the Founder and leadership team on strategic planning, board preparation, operational improvements, and growth initiatives Investor & Board Reporting: Assist with the creation of reporting packages, presentations, and materials for investors and board meetings Business Performance Tracking: Monitor KPIs, operational performance, and financial results, providing recommendations for improvement Ad-Hoc Projects: Support special analyses related to pricing, market expansion, M&A evaluation, and investment opportunities
Qualifications: Bachelors degree required with a 3.5+ GPA from an accredited institution Advanced Excel skills and strong financial modeling experience (pivot tables, lookups, sensitivity analysis, scenario building, etc.) 13 years of experience in finance, accounting, FP&A, consulting, investment analysis, or related fields Strong analytical, quantitative, and problem-solving abilities Comfort working in a fast-paced, dynamic environment with changing priorities Ability to communicate insights clearly and collaborate across teams Highly motivated, proactive, and excited to work in a PE-backed growth setting Boston-based candidates only; hybrid work schedule
This is an exceptional opportunity for someone early in their career who wants hands-on exposure to private equity, leadership, and impactful business decisions.