US Financial Business Partner
JD.COM · Jersey, GA · 1 wk ago
FinanceFull-time
About the role
You’ll be joining the JD.com team, which values collaboration, ownership, and a commitment to delivering high-quality results in a fast-paced, dynamic environment.
Responsibilities
- Develop annual budgets and rolling forecasts, monitor variances, and recommend adjustments to align financial goals with business strategies.
- Optimize resource allocation and decompose targets to support performance achievement.
- Establish a business KPI framework, generate regular analytical reports, identify anomalies, and conduct root cause analysis.
- Propose actionable strategies to drive operational improvements and cost-efficiency.
- Engage with frontline operations to assess projects and design solutions.
- Provide financial insights for decision-making, resolve cross-departmental bottlenecks, and ensure strategic execution.
- Identify risks (e.g., revenue inflation, delivery fraud) and implement preventive controls.
- Monitor cash flow, receivables, and payables to mitigate bad debt and liquidity risks.
- Design data models and automation tools (e.g., BI dashboards) to streamline financial processes.
- Enhance data accuracy and analytical efficiency for precision in business operations.
- Lead initiatives like industry research and competitor analysis, standardizing methodologies.
- Conduct financial training to elevate team expertise and foster sustained business-finance integration.
Requirements
Commensurate with experience.
Qualifications
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- Minimum 5 years of relevant experience in budgeting, forecasting, and financial analysis.
- Strong analytical skills and ability to interpret complex financial data.
- Experience with financial modeling and Excel/VBA.
- Excellent communication and presentation skills.
- Ability to work independently and manage multiple tasks simultaneously.
- Knowledge of ERP systems and financial reporting standards.
Skills
- Advanced proficiency in Microsoft Office Suite, particularly Excel and PowerPoint.
- Experience with financial management software and tools.
- Understanding of financial regulations and compliance requirements.
- Strong problem-solving and critical thinking skills.
- Ability to work effectively in a fast-paced, dynamic environment.
Benefits
Competitive salary, great location, and a supportive, people-first culture.
Pay
TBD
Schedule
TBD
Equal Opportunity Employer
We are committed to building a diverse and inclusive workplace where everyone can thrive.