Minimum qualifications 4 years of experience in strategic finance, FP&A, leveraged finance, or corporate development, including early career experience in private equity, or investment banking Advanced expertise in three-statement financial modeling, cash flow forecasting, and debt/capital structure modeling and experience with modern FP&A, BI, or ERP tools Experience proactively driving Board-level and Lender-facing financial analysis and presentations Strong ability to synthesize complex financial concepts into clear, actionable insights for senior leadership Comfort working in a fast-paced, high accountability environment with tight timelines and evolving priorities Strong cross-functional partnering skills to drive informed decision-making across the organization Bachelor's degree in Finance, Accounting, Economics, or a related field (MBA or CFA a plus). Enterprise Cash Flow & Capital Structure Leadership Own and continuously enhance the company's integrated three-statement, cash flow, and liquidity models, with increasing account-level detail and forecasting precision Model seasonal cash dynamics, including deposits, deferred revenue, working capital, and capital expenditures Develop and own detailed multi-tranche debt schedules (e.g., revolvers, term loans) and interest modeling Build pro forma capital structures to evaluate refinancings, growth initiatives, and strategic investments Own a rolling 13-week cash flow forecast to support near-term liquidity planning.