Related skills
looker sql gaap cash flow p&l๐ Description
- Own cash forecast for monthly cycles and annual plan.
- Maintain WASO/EPS models; equity roll-forward and dilution.
- Update Balance Sheet forecast; monitor leverage and capital structure.
- Analyze debt interest expense impact on P&L and cash.
- Manage Long-Range Planning model for multi-year scenarios.
- Lead FP&A treasury support for debt, interest, and cash management.
๐ฏ Requirements
- Strong analytical, financial modeling, and problem-solving skills.
- Experience in FP&A, investment banking, or high-growth environments.
- Proficiency with Adaptive Insights; building models and reports.
- GAAP knowledge; cash flow basics; ASC 842 a plus.
- Forecasting, planning, and budget management; business partner.
- Proactive communicator with strong verbal and written skills.
๐ Benefits
- Career development resources and training.
- LinkedIn Learning access for courses.
- Flexible time off and local benefits.
- Equity compensation and potential bonuses.
- Remote-friendly, global team culture.
- Equal opportunity employer.
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