As a Senior Cash Flow Financial Analyst, you will drive end-to-end visibility into company liquidity and working capital dynamics, owning company-wide cash planning processes, leading cash inflow and outflow forecasting, and maintaining operating and long-term financial models to guide executive decision-making.
Requirements
- 7–9 years of relevant experience in Corporate FP&A, preferably within a public or pre-IPO SaaS environment.
- Background in Corporate FP&A with strong understanding of GAAP, external reporting requirements, and working capital disclosure expectations
- Demonstrated ability to build and maintain complex financial models that support strategic decisions.
To apply for this job please visit jobs.lever.co.

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