ResponsibilitiesAccurately update systems to actual results, forecasts, and budgetsEnsure compliance with internal and external accounting standards and financial policiesConduct in-depth financial analysis and reportingPerform cash flow analysis and provide recommendations for improvementUtilize advanced Excel functions including pivot tables for data analysisCollaborate with cross-functional teams to drive financial performancePresent findings and recommendations to senior managementUtilize tools such as Power BI for data visualization and reportingQualificationsBachelors degree or equivalent in Finance or Accounting4+ years of relevant experienceProficient in Microsoft Excel and Power BIStrong quantitative financial skills and skilled in creating models