SpectrumCareers
Our client, a fast-growing publicly-traded technology company, is seeking a Financial Analyst. This role will play a critical part in shaping financial strategy, supporting executive decision-making, and scaling a data-driven finance function in a dynamic, high-growth environment.
Key Responsibilities Build and maintain financial models that support strategic planning, investment decisions, and long-range forecasting Partner with senior leaders across Product, Engineering, Sales, and G&A to translate business initiatives into financial outcomes Own key elements of the annual budget, rolling forecast, and long-term operating model Deliver sharp variance analysis and executive-ready insights on revenue, headcount, margin, and operating leverage Develop dashboards and KPIs that tell the financial story behind growth, efficiency, and scalability Support board-level and investor-facing reporting, including scenario analysis and sensitivity modeling Analyze unit economics, pricing, and cost structure to drive profitability and sustainable growth Identify opportunities to improve forecasting accuracy, financial visibility, and process efficiency Contribute to ad hoc analyses tied to M&A, new product launches, and strategic initiatives
Qualifications Bachelors degree in Finance, Accounting, Economics, or related field 25 years of experience in FP&A, public-accounting, corporate finance, investment banking, consulting, or high-growth tech Strong financial modeling, analytical, and problem-solving skills Advanced Excel skills; experience with FP&A tools and BI platforms a plus Ability to communicate complex financial concepts to non-finance stakeholders Experience working in a fast-paced, ambiguous environment preferred
Key Responsibilities Build and maintain financial models that support strategic planning, investment decisions, and long-range forecasting Partner with senior leaders across Product, Engineering, Sales, and G&A to translate business initiatives into financial outcomes Own key elements of the annual budget, rolling forecast, and long-term operating model Deliver sharp variance analysis and executive-ready insights on revenue, headcount, margin, and operating leverage Develop dashboards and KPIs that tell the financial story behind growth, efficiency, and scalability Support board-level and investor-facing reporting, including scenario analysis and sensitivity modeling Analyze unit economics, pricing, and cost structure to drive profitability and sustainable growth Identify opportunities to improve forecasting accuracy, financial visibility, and process efficiency Contribute to ad hoc analyses tied to M&A, new product launches, and strategic initiatives
Qualifications Bachelors degree in Finance, Accounting, Economics, or related field 25 years of experience in FP&A, public-accounting, corporate finance, investment banking, consulting, or high-growth tech Strong financial modeling, analytical, and problem-solving skills Advanced Excel skills; experience with FP&A tools and BI platforms a plus Ability to communicate complex financial concepts to non-finance stakeholders Experience working in a fast-paced, ambiguous environment preferred