Corporate Finance Analyst Job Summary: The Corporate Finance Analyst will be responsible for providing valuable analysis and insight for our Executive team, while supporting core treasury activities including liquidity and cash forecasting, banking administration, and risk management initiatives. Success in your role involves understanding our industry, company, and shareholders to cultivate and maintain positive relationships with the investment community. This position may involve occasional evening and weekend hours and travel. Key Job Responsibilities : Help inform and influence investment community around financial performance, long term strategy, competitive positioning, product positioning, etc. Support development of quarterly earnings materials and supporting material in collaboration with executive leadership. Develop and maintain competitive analyses and models, including sell-side consensus model. Collaborate across the organization to improve processes and ensure appropriate expectations with the investor community. Develop compelling investor materials and coordinate investor conferences, roadshows, and other events to promote ARRY and attract investment. Analyze and report on shareholder and investment trends and opportunities. Proactively monitor market trends, peer businesses and other factors that may impact investor interest/stock movement. Evaluate and summarize analyst notes, conference/event presentations and transcripts and earnings materials of peers and provide insights to management. Prepare and maintain daily cash position reporting, cash forecasts, and variance analysis to support liquidity planning. Manage and/or develop monthly reporting for cash transaction summaries, interest income & expense, bank fees, etc. Support bank account administration (open/close accounts, authorized signers, documentation, user access) and partner with Accounting on bank reconciliations and cash-related controls. Assist with debt and covenant compliance reporting, letters of credit, and maintenance of treasury schedules; support execution of short-term investment and liquidity strategies per policy. Handles requests from both internal and external auditors related to any Treasury functions Execute and/or review domestic and international payments (wires/ACH), ensuring adherence to delegation of authority, controls, and fraud prevention procedures. Assist in developing and executing a global FX and commodity hedging program Perform other related duties as assigned. Ensure compliance with regulation FD (financial disclosure)
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Job Type
Full-time
Career Level
Entry Level
Number of Employees
501-1,000 employees