San Francisco, California
Availability to begin work ASAP. Analyze financial data by collecting, monitoring and creating financial models for decision support. Improve financial status by analyzing results; monitoring variances; identifying trends; recommending actions to management. Assist with annual and quarterly forecasting. Identify financial status by comparing and analyzing actual results with plans and forecasts. Guide cost analysis process by establishing and enforcing policies and procedures; providing trends and forecasts; explaining processes and techniques; recommending actions. Recommend actions by analyzing and interpreting data and making comparative analyses; study proposed changes in methods and materials. Increases productivity by developing automated reporting/forecasting tools. Market research, data mining, business intelligence, and valuation comps. Revamping formatting of financial statements according to best practice. Cash flow analysis.
For more information regarding this position, please contact Julie Luangrath at firstname.lastname@example.org