Corporate Financial Analyst

CACIReston, VA
Hybrid

About The Position

CACI is seeking a proactive financial analyst to join our Corporate Finance team. In this role, you’ll have meaningful visibility, the opportunity to influence planning and performance, and the chance to grow your expertise within a collaborative, mission‑driven finance team. You will be supporting budgeting, forecasting, reporting, and day‑to‑day financial analysis while collaborating with teams across the organization to ensure accurate data and informed decision‑making. Only local candidates in the DMV area are eligible for this hybrid role.

Requirements

  • A minimum of 1-2 years of related experience.
  • Bachelor's degree (Finance, Accounting or Business Administration preferred)
  • Strong analytical skills, the ability to work independently and effectively handle and complete multiple tasks
  • Advanced Excel skills
  • Understanding of financial statements
  • Ability to learn and utilize various IT systems

Nice To Haves

  • Master's degree (Business, Data Analytics, IT or similar field)
  • Experience in a finance function where responsibilities included budgeting, forecasting, variance analysis, financial modeling, and cash management
  • Advanced understanding of financial statements
  • Working knowledge of GAAP and Accounting principles
  • Knowledge of CostPoint and Hyperion
  • Experience with managing and analyzing Corporate costs
  • Experience with government accounting and FAR
  • Certifications applicable to Corporate Finance disciplines (Financial Modeling, Valuation, Data Analytics, etc.)

Responsibilities

  • Compile, analyze, interpret, and report financial data
  • Support annual budgeting process, monthly forecasting, and financial close reporting requirements
  • Develop in-depth expense analyses for corporate cost centers by gathering and analyzing data, creating metrics, tracking costs, interfacing with department managers and reporting findings to senior management
  • Create and analyze monthly, quarterly, and annual reports and ensure financial information has been recorded accurately
  • Collect/format/assemble presentations for senior management and the Board on a monthly and quarterly basis
  • Assist the team with treasury operations
  • Prepare financial models to support business planning exercises
  • Effectively communicate orally and in writing
  • Perform ad hoc analysis as required

Benefits

  • flexible time off benefit
  • robust learning resources
  • competitive compensation
  • benefits
  • learning and development opportunities
  • comprehensive benefits such as; healthcare, wellness, financial, retirement, family support, continuing education, and time off benefits.
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