Financial Analyst Jobs
By Berkadia At Boise, ID, United States
Ability to think commercially about the needs and requirements of different client groups, including investment management firms, brokers, and lenders.
Exceptionally strong Excel modeling skills, with experience with VBA and complex formulas.
Experience with data analytics such as demographics, competitors, industry and real estate trends, etc.
Experience using Adobe Creative Suite (InDesign, Photoshop, etc.) a plus.
Develop and maintain sophisticated financial underwriting models for commercial real estate development, acquisition and disposition.
Breakdown and analyze P&L statements and rent rolls.
Sr. Treasury Analyst Jobs
By Shutterfly At , Fort Mill, 29708, Sc
Bachelor’s Degree with accounting or finance concentration or equivalent experience
Able to manage a variety of projects simultaneously, prioritizing requirements to meet deadlines and critical needs
Manages and maintains bank accounts, account services, signers, and controls
Manages FBAR reporting and documentation
Manage ad hoc projects and analysis as needed
Experience administering online bank portal systems

Are you looking for an exciting opportunity to use your financial expertise to help shape the future of the Treasury Department? We are looking for a Treasury Financial Analyst to join our team and help us analyze financial data, develop strategies, and provide guidance to our team. If you have a passion for finance and a knack for problem-solving, this could be the perfect job for you!

Overview A Treasury Financial Analyst is responsible for managing the financial activities of a company’s treasury department. This includes analyzing financial data, developing financial strategies, and managing the treasury department’s budget. The Treasury Financial Analyst is also responsible for ensuring compliance with all applicable laws and regulations. Detailed Job Description The Treasury Financial Analyst is responsible for analyzing financial data to identify trends and opportunities for improvement. They must develop financial strategies to maximize the company’s financial performance and manage the treasury department’s budget. The Treasury Financial Analyst is also responsible for ensuring compliance with all applicable laws and regulations. They must also monitor the company’s cash flow and liquidity and provide financial advice to the company’s management team. Job Skills Required
• Strong analytical and problem-solving skills
• Excellent communication and interpersonal skills
• Knowledge of financial analysis and financial modeling
• Knowledge of accounting principles and financial regulations
• Ability to work independently and as part of a team
• Proficiency in Microsoft Office Suite
Job Qualifications
• Bachelor’s degree in finance, accounting, or a related field
• 5+ years of experience in a financial analysis role
• CFA or CPA certification preferred
Job Knowledge
• Knowledge of financial analysis and financial modeling
• Knowledge of accounting principles and financial regulations
• Knowledge of financial markets and instruments
• Knowledge of financial software and systems
Job Experience
• 5+ years of experience in a financial analysis role
• Experience in treasury management
• Experience in budgeting and forecasting
Job Responsibilities
• Analyze financial data to identify trends and opportunities for improvement
• Develop financial strategies to maximize the company’s financial performance
• Manage the treasury department’s budget
• Monitor the company’s cash flow and liquidity
• Ensure compliance with all applicable laws and regulations
• Provide financial advice to the company’s management team