What are the responsibilities and job description for the Senior Financial Analyst – Modeling & Treasury | Global Manufacturing Company | Downtown Chicago | Hybrid position at Buckingham Search?
Senior Financial Analyst – Modeling & Treasury | Global Manufacturing Company | Downtown Chicago | Hybrid
📍 Downtown Chicago, IL (Hybrid Schedule)
A global manufacturing company in downtown Chicago is seeking a Senior Financial Analyst with a rare blend of skills: someone who can build financial models from scratch and also manage the treasury team’s debt model. If you’re equal parts strategic thinker and technical modeler, this is a high-impact role with exposure to senior finance leadership and direct influence on capital structure, forecasting, and long-range planning.
What You’ll Do:
- Build and maintain complex financial models from the ground up to support business planning, forecasting, and investment analysis.
- Own and enhance the company’s debt model, collaborating closely with the treasury team to monitor and project capital structure, interest expense, and liquidity planning.
- Perform scenario and sensitivity analyses to support strategic decisions, M&A activity, and capital planning.
- Support long-range planning, budgeting, and cash flow forecasting across business units.
- Partner with corporate finance, FP&A, treasury, and business leaders to deliver insightful, data-driven financial strategies.
- Assist in preparing materials for executive leadership, lenders, and rating agencies, helping tell the financial story behind the numbers.
- Drive continuous improvement in financial modeling, reporting tools, and forecasting accuracy.
What You Bring:
- 4 years of experience in financial modeling, FP&A, corporate finance, or treasury—ideally in a manufacturing or capital-intensive industry.
- Proven ability to build dynamic, driver-based financial models from scratch (Excel mastery required).
- Experience managing or supporting debt models, capital structure planning, or treasury-related analysis.
- Strong understanding of financial statements, forecasting, valuation, and corporate finance principles.
- Excellent communication skills with the ability to present complex financial concepts clearly.
- High attention to detail, intellectual curiosity, and a proactive, analytical mindset.
- Bachelor’s degree in Finance, Accounting, or Economics; MBA or CFA a plus.
Why Join Us?
✅ Unique hybrid role at the intersection of FP&A and Treasury.
✅ Downtown Chicago location with flexible hybrid work environment.
✅ Global manufacturing leader with strong financial foundation and growth trajectory.
✅ Visibility to executive leadership and a clear path for advancement.
If you're a financial modeling expert with a passion for strategic analysis and treasury operations, this role offers a rare opportunity to do both. Apply today!
Salary : $94,500 - $114,750