Cash Flow Forecasting Analyst
What role you will play in team: You will play a critical role in developing accurate cash flow forecasts, supporting strategic financial planning.What you will do: You'll use sophisticated modeling techniques to project future cash flows.Key responsibility:Developing and maintaining accurate cash flow forecasts.Analyzing historical data to identify trends and patterns.Collaborating with various departments to gather data and assumptions.Developing and utilizing financial models for cash flow forecasting.Presenting cash flow forecasts to senior management.Improving the accuracy and efficiency of the forecasting process.Required Qualification and Skills:Bachelor's degree in Finance, Accounting, or related field.1-2 years of experience in financial forecasting or analysis.Strong analytical and problem-solving skills.Proficiency in financial modeling software (e.g., Excel).Excellent communication and presentation skills.Benefits Included:Competitive salary and benefits package.Opportunities for professional growth and development.A fast-paced and dynamic work environment.Health insurance.Paid time off.A Day in the Life: You'll start by reviewing historical data, then build and refine financial models. You'll collaborate with other teams to gather inputs, present forecasts, and continuously improve processes.