You are the translator between business operations and financial reality. You understand how decisions flow through P&Ls, balance sheets, and cash flow statements. You spot inconsistencies others miss, model scenarios with precision, and communicate complex financial mechanics in language others can act on. Your analysis informs strategy; your numbers are trusted.
The Domain (What You Master) • Financial modeling and forecasting (Excel, Python, SQL) • P&L analysis, variance analysis, and budget-to-actual reconciliation • Cash flow projections and working capital management • Cost accounting and unit economics • GAAP/accounting fundamentals and financial statement interpretation • Profitability analysis by product, customer, or segment • APMs and KPIs—translating operational metrics into financial impact • Excel mastery: pivot tables, VLOOKUP, INDEX-MATCH, array formulas, macros • Data pulling from ERPs and accounting systems The Remote Standard • You're detail-oriented but also big-picture aware. • You anticipate questions finance stakeholders will ask and document your assumptions clearly. • You work independently on complex models while staying aligned with accounting and finance leadership. • Your spreadsheets are clean, auditable, and built for collaboration—others can trace your logic without explanation. • In remote environments, clarity of methodology matters as much as the answer.
What You'll Do
You are the translator between business operations and financial reality.
You understand how decisions flow through P&Ls, balance sheets, and cash flow statements.
You spot inconsistencies others miss, model scenarios with precision, and communicate complex financial mechanics in language others can act on.
Your analysis informs strategy; your numbers are trusted.