Ideally, you’re looking to transition from a banking background and ready to dive into the startup world, bringing analytical rigor and a hunger to make an impact. You’ll work closely with our leadership to shape our financial strategy and optimize operations.
Key Responsibilities:
Conduct revenue analysis to identify trends and growth opportunities.
Manage accounts payable/receivable, ensuring accurate and timely reporting.
Review and analyze P&L statements and cash flow to guide strategic decisions.
Build financial models based on historical performance, factoring in cash on hand, cash flow, burn rate, and growth projections.
Provide actionable insights to optimize financial health and operational efficiency.
Who You Are:
2-5 years of experience in banking (e.g., investment banking, corporate finance, or similar).
Strong analytical skills with expertise in financial modeling and data analysis.
Proficient in tools like Excel, QuickBooks, or similar financial software.
Entrepreneurial mindset, comfortable in a fast-paced, evolving environment.
Passionate about startups and eager to take ownership of financial operations.
Why Join Us?
Be a key player in a high-growth startup with real ownership and impact.
Transition from banking to the exciting, dynamic startup ecosystem.
Work with a passionate team dedicated to innovation and growth.
If you’re ready to trade the suit for a startup vibe and make a tangible difference, apply now!
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