Corporate Analyst, Finance
Kestra Financial · Tempe, AZ · 2 days ago
FinanceFull-time
What You’ll Do
- Support the consolidated financial close process across multiple legal entities
- Aid in preparation of consolidated reporting for: Monthly management reporting, Board and lender materials, Budget and forecast deliverables
- Partner with Accounting and FP&A to ensure accurate, timely, and consistent financial reporting
- Develop and monthly and quarterly cash flow forecasts including P&L, balance sheet, and liquidity assumptions, scenario-based cash flow modeling and M&A integration impacts
- Sustain and enhance CPM / FP&A tools (e.g., Anaplan, Pigment)
- Absorb and validate requirements, test (UAT), and validate financial models and reporting outputs
- Assist in transitioning reporting and forecasting processes from manual Excel-based workflows to system-driven solutions
- Contribute to finance transformation initiatives focused on scalability, automation, and control
What You Bring
- Bachelor’s Degree in Finance or Accounting or related field. 2-5 years’ experience using advanced Excel functionality
- Deep understanding of corporate reporting consolidation processes and multi-channel financial reporting
- Hands-on experience leading ERP implementations and post-implementation support
- Strong knowledge of finance, accounting, and controls within enterprise systems
- Solid understanding of financial accounting
- Excellent written and verbal communication skills
- Strong interpersonal skills and ability to work dynamically across teams
- Highly analytical, detail-oriented, and able to balance strategic thinking with hands-on execution
- Proven ability to partner effectively across business lines and influence senior stakeholders