
Job Description
Ovii's Interpretation of the Role
The Financial Analyst – FP&A will partner with the CEO and Accounting Manager to deliver accurate financial reporting, forecasting and business insights that guide strategic decisions across multiple locations.
Role Snapshot
- Financial modeling
- Revenue & expense analysis
- Cash‑flow forecasting
- Leadership reporting
- Multi‑location performance insights
- Collaboration with senior leadership
Must-Have Requirements
- Financial Planning & Analysis (FP&A) experience 2‑3 years
- Strong understanding of accounting principles and financial statements
- Experience preparing financial reports, forecasts and business analysis
- Proficiency in Microsoft Excel
- Experience using QuickBooks Online
- Experience with Power BI, Tableau or similar reporting tools
- Strong analytical and problem‑solving skills
- Excellent written and verbal English communication
- Financial Planning & Analysis
- Financial Analysis
- Accounting
Nice-to-Have Signals
- Experience supporting multi‑location or multi‑entity businesses
- Experience with budgeting and cash‑flow forecasting
- Familiarity with CRM reporting and business performance analysis
- CPA or other accounting/finance certification
- Multi‑location business support
- Budgeting and cash‑flow forecasting
- CRM reporting
- CPA certification
Work Setup
- Location: India
- Work mode: REMOTE
- Remote scope: COUNTRY_RESTRICTED
- Remote countries: India
- Timezone: U.S. business hours
- Employment type: Full-Time
- Shift: U.S. business hours
Eligibility Gates
- Visa sponsorship: unknown
Not Specified in JD
- Visa sponsorship
- Salary range
- Relocation
- Notice period
- Travel
- Security clearance
- Coding test
- Portfolio
- GitHub
- Writing sample
- Cover letter
What You'll Likely Work On
- Build and maintain financial models for revenue, expenses, margins and EBITDA
- Prepare weekly and monthly financial reports for senior leadership
- Analyze performance across multiple locations, spot trends and profitability gaps
- Support the 13‑week cash‑flow forecast, update forecasts and flag financial risks
- Assist with budgeting and long‑term financial planning
- Extract insights from financial and CRM data and present recommendations
- Partner with the CEO, Accounting Manager and external consultants on strategy
- Contribute to projects that enable future growth
Good Fit If You Have
- Enjoys turning data into clear business insights
- Detail‑oriented and comfortable working independently
- Nice‑to‑have experience with multi‑location businesses or CPA certification
Skills
- Financial Planning & Analysis (FP&A)
- Financial modeling
- Microsoft Excel
- QuickBooks Online
- Power BI or Tableau
- Financial reporting
- Cash‑flow forecasting
- Business performance analysis
- English written & verbal communication
- Analytical problem solving
Remote Eligibility
- India