What are the responsibilities and job description for the Financial Analyst & Cash Management Specialist position at ByzFunder?
Position Summary
We are looking for a dynamic Financial Analyst & Cash Management Specialist to support our CFO in managing critical financial functions, including cash management, financial planning & analysis (FP&A), reporting, and audits. This role is ideal for an early-career finance or accounting professional eager to expand their experience in a fast-paced, hands-on environment.
The ideal candidate will be a self-starter with strong analytical skills, an eye for detail, and a proactive approach to problem-solving. This position requires someone comfortable balancing routine financial tasks with ad hoc strategic projects while working independently with minimal supervision.
Key Responsibilities
Cash Management & Forecasting :
- Monitor and manage daily cash flow to ensure liquidity and efficient working capital utilization.
- Prepare cash flow forecasts and recommend strategies to optimize cash positioning.
- Assist with banking relationships and cash operations oversight.
Financial Planning & Analysis (FP&A) :
Financial Reporting & Lender Relations :
Month-End Close & Audit Support :
Qualifications & Experience
Why Join Us?
This is a unique opportunity to work closely with the CFO in a high-growth financial services environment. You’ll gain hands-on experience in financial operations, cash management, and FP&A while making a direct impact on company strategy. If you are eager to learn, love numbers , and thrive in a fast-moving role with diverse responsibilities, we’d love to hear from you!