This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
This role is ideal for a detail-oriented finance specialist with strong expertise in public-company reporting, advanced financial modeling, and investor-focused analysis. The position will play a key role in developing forward-looking financial materials, shaping reporting assumptions, and delivering clear metrics that support external stakeholders and capital planning. Our client plans to entertain an SEC Regulation A or CF offering and wants assistance in preparation of the 3-to-5-year financial model.
Job Responsibility:
Build and maintain comprehensive multi-year financial models that integrate the balance sheet, income statement, and statement of cash flows
Prepare pro forma financial information to support a Regulation A or CF offering and related external reporting needs
Develop scenario-based forecasts that reflect baseline performance, growth strategies, and capital allocation considerations
Translate operational and financial assumptions into clear, decision-ready analyses for leadership and investors
Produce reporting packages and supporting schedules that align with SEC reporting expectations and filing requirements
Evaluate revenue trends, margin performance, and other key business drivers to create meaningful investor-ready metrics
Partner with internal stakeholders to validate assumptions, refine projections, and improve the quality of financial insights
Requirements:
Demonstrated experience in financial modeling within a public-company or reporting-driven environment
Strong command of balance sheets, income statements, and cash flow statements, including how they interact in integrated models
Hands-on knowledge of SEC financial reporting and filing practices
Experience preparing pro forma financial information for transactions, offerings, or strategic initiatives
Ability to build multi-year forecasts that incorporate base-case assumptions, growth plans, and capital deployment strategies
Strong analytical skills with the ability to present financial results and key metrics in a clear, investor-oriented format
Excellent attention to detail and the ability to manage complex financial data with accuracy