Florida, Tampa-St. Petersburg-Cl
Develops, interprets and implements financial concepts for financial planning and control. Performs technical analysis to determine present and future financial performance. Gathers, analyzes, prepares and summarizes recommendations for financial plans, acquisition activity, trended future requirements, operating forecasts, etc. Performs economic research and studies in the areas of rates of return, depreciations, working capital requirements, investment opportunities, investment performance, and impact of governmental requirements. Evaluates and prioritizes business partner needs related to FP&A Reporting tools. Coordinates with other business units to deliver consistent and holistic solution level tools and reports. Provides analysis and guidance as to proper level of detail, including drill down and drill through models, based on Business Partner needs.
3+ years of Financial Analysis Experience
Bachelor' s Degree in Finance or Accounting
Strong Microsoft Excel and Modeling skills