Job Description:
Title: Senior Financial Analyst
Location: Scottsdale, AZ
Setting: Onsite
Compensation: $105k – $115k + 5% annual bonus
About the Role
We are seeking a highly analytical and detail-oriented Senior Accountant to support accounting, financial planning, treasury, and strategic growth initiatives for a rapidly expanding organization.
This position offers broad exposure across cash flow management, budgeting and forecasting, financial analysis, lender reporting, and acquisition integration activities.
The ideal candidate thrives in a fast-paced environment, enjoys solving complex business challenges, and is comfortable partnering with executive leadership on initiatives that drive operational and financial performance.
Key Responsibilities
Treasury, Cash Flow & Financial Reporting
- Prepare and maintain daily cash flow reporting to support liquidity management and business decision-making
- Develop and manage short- and long-term cash forecasting models
- Monitor purchasing activity and prepare reporting related to spending trends and commitments
- Prepare lender compliance and debt covenant reporting packages
- Support treasury planning, working capital analysis, and liquidity management initiatives
- Identify and implement process improvements related to cash forecasting and financial reporting
Acquisitions & Integration Support
- Assist with financial due diligence and acquisition-related accounting activities
- Partner with external advisors on transaction support, purchase accounting, and integration initiatives
- Prepare opening balance sheets and transition accounting processes for newly acquired entities
- Support post-acquisition integration efforts, including financial reporting standardization and process alignment
- Coordinate cross-functionally with operational leaders and key stakeholders throughout the integration process
- Assist with acquisition-related projects, documentation, and operational improvement initiatives
Budgeting, Forecasting & Financial Analysis
- Support annual budgeting and forecasting processes through financial modeling, analysis, and reporting
- Prepare variance analyses and management reporting packages
- Identify financial trends, risks, and opportunities to support business strategy
- Develop recurring and ad hoc reporting, dashboards, and performance analyses for leadership
- Support strategic decision-making through scenario modeling and data-driven recommendations
- Participate in initiatives focused on improving reporting accuracy, efficiency, and scalability
Accounting & Business Support
- Assist with month-end and year-end close activities, reconciliations, and financial reporting
- Maintain compliance with internal controls, accounting standards, and company policies
- Collaborate with accounting, finance, operations, and executive leadership teams
- Support system implementations, business integrations, and other special projects as needed
Qualifications
Required
- Bachelor’s degree in Accounting, Finance, or a related field
- 3+ years of experience in accounting, FP&A, corporate finance, or a related function
- Strong understanding of financial statements, budgeting, forecasting, and cash flow analysis
- Advanced Microsoft Excel skills
- Experience working with ERP or accounting systems
- Strong analytical, organizational, and problem-solving abilities
- Excellent communication and cross-functional collaboration skills
- Ability to manage multiple priorities in a dynamic, fast-paced environment
Preferred
- MBA or advanced business degree
- Experience supporting debt covenant reporting, treasury functions, or lender compliance
- Exposure to mergers & acquisitions, acquisition accounting, or integration activities
- Experience in multi-entity, private equity-backed, or high-growth environments
- Continuous improvement mindset with the ability to identify and drive process enhancements
To apply for this job please visit whatjobs.com.

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