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Cash Flow Treasury Forecasting and Modeling Analyst (6+ Month+)
Ref No.: 18-00115
Location: Mahwah, New Jersey
Position Type:Contract
Start Date: 06/06/2018
Forecast and Financial Modeling Analyst (3-6 Month Assignment)
Location:  Mahwah, NJ
Rate:  OPEN
Aspects of Role:
  • Assist the North America team with detailed modeling and cash flow forecasting and business planning.
  • Researching and reviewing data to complete model and forecasting analysis
  • Oversight and evolution of existing group forecasting models, systems, and process
  • Perform analysis of current business model and apply best practices to improve revenue.
  • Systemizing management accounts production, ensuring it is timely and accurate for a growing international business.
Required Experience:
  • 3-year business model build and validation with strong analysis experience.
  • Strong hands-on Excel experience.
  • Statistical Analysis experience
  • Hands-on experience reviewing and directing detailed business forecasting models
  • Strong understanding of cost basis.
  • Private Equity experienced, together with experience of fast growing, complex international groups is helpful
  • Travel Industry and or Digital experience useful