Builds knowledge of the company, processes, and customers. Analyzes possible solutions using standard procedures. Responsible for all spending and budgeting related activities. These activities include but are not limited to forecasting, reporting, journal entries posting, capital budget management and execution, quarter end close and accounts reconciliation. Effectively collaborate and interact with various Business Managers and be responsible in consolidating key FP&A requirements, while delivering reporting analysis for all financial cycles. Perform consolidation and reporting related to financial close, quarterly business reviews, Annual Operating Plans, Strategic Review and forecast cycles Collaborate with cross functional teams in performing detailed analysis for finance and non-finance stakeholders Support management in completing ad hoc reports and providing data driven insights into business performance Develop financial models, run scenario analysis and provide support in analyzing margins, risks and opportunities. Lead the effort in streamlining management reporting and centralizing information and analytics Proactively identify and drive process improvement initiatives Strong analytical and problem-solving skills Strong Excel modeling skills, experience with Financial systems like SAP, Anaplan and Tableau a plus Collaborative working style, excellent communication, and presentation skills Self-starter with a positive attitude and ability to thrive in a rapidly changing environment Experience: 4-7 years of finance experience and Master's Degree preferred