Summary
Join Tria Federal as a Senior Financial Analyst and lead the development of budgets, prepare financial data, and provide recommendations to organizational leaders. You will perform period-close reporting, variance analysis, and oversee daily cash positioning. This role requires strong analytical and communication skills, proficiency in financial systems, and a minimum of 4-7 years of experience in financial management, preferably in government contracting. The position offers opportunities to interact with senior finance leaders and contribute to strategic projects. This is a full-time, remote or Vienna, VA-based position requiring US citizenship and a minimum background check.
Requirements
- Bachelor's degree in finance, accounting, or a related field
- A minimum of 4-7 years of experience in financial management, preferably in a government contracting environment
- Proficiency in Hyperion Planning, Essbase, and SmartView
- Solid understanding of financial planning, cash forecasting, and compliance requirements
- Excellent analytical, problem solving, and decision-making skills
- Effective communication skills, with the ability to present financial information clearly and concisely to senior management
- High Excel proficiency: formulas, analytics, effective data presentation
- Able to work under tight deadlines, taking responsibility for completing tasks efficiently
- US Citizenship
- Minimum Background Check
Responsibilities
- Lead the development of budgets for the Annual Operating and Quarterly forecasts
- Prepare, evaluate, and distribute financial data and provide actionable recommendations to organization leaders
- Perform period close reporting and variance analysis to various stakeholders
- Communicate regularly with the leadership team and assist in finance related operational activities
- Continuously evaluate current process and make recommendations to improve financial forecasting, planning, and reporting
- Oversee daily cash positioning ensuring sufficient liquidity for ongoing operation
- Prepare and analyze cash forecasts and drive forecasts process improvements and business alignment
- Manage bank accounts, including opening/closing accounts, setting up services, and optimizing bank relationships
Preferred Qualifications
- MBA or professional certification
- Experience with other financial systems (e.g., Oracle, UNANET)
- Experience managing treasury functions
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