About Ampleo
Amplēo provides experienced business leaders, including CFOs, CMOs, and CHROs, to companies on a fractional basis to help them achieve their full potential. Amplēo allows companies the freedom and flexibility to add highly expert, strategic talent as they need it, without the hassle or cost of a full-time hire. It also offers experienced business leaders and proven professionals the opportunity to do their best work across multiple companies while enjoying greater variety, flexibility, and balance in their lives. Thousands of companies rely on Amplēo professionals to deliver seasoned leadership and expert counsel at all levels of their organization.
What you'll do
The Financial Analyst will support the Finance team in budgeting, forecasting, reporting, and analyzing financial and operational performance. This role is ideal for someone early in their career who has strong analytical abilities, exceptional Excel skills, and a desire to learn in a fast-paced, growth-oriented environment. The Financial Analyst will partner closely with cross-functional teams to deliver insights that drive strategic and operational decisions.
- Assist in building and maintaining budgets, forecasts, and financial models.
- Prepare weekly, monthly, and quarterly reporting packages for leadership.
- Analyze key financial and operating metrics to identify trends and areas for improvement.
- Build and maintain complex Excel models, ensuring accuracy and clarity.
- Partner with business teams to gather financial inputs, validate assumptions, and provide insights.
- Partner with Divisional Leaders to facilitate the production of Monthly Operating Review packets.
- Support the development of dashboards, KPI reporting, and automation of recurring analysis.
- Assist with ad-hoc analysis, including scenario modeling and business cases.
- Improve financial processes and reporting tools as the company scales.
- Support the monthly financial close process through variance analysis, reporting, and data validation.
What we're looking for
- Bachelor’s degree in Finance, Accounting, Economics, Business, or related field.
- 1–2 years of experience in FP&A, corporate finance, investment banking, accounting, or related analytical role.
- Advanced Excel skills, such as VLOOKUP/XLOOKUP, INDEX/MATCH, PivotTables, SUMIFS, nested formulas, and dynamic modeling.
- Strong analytical and problem-solving skills with high attention to detail.
- Ability to communicate clearly and work effectively across teams.
- Strong organizational skills with the ability to manage multiple priorities and deadlines.