Financial Analyst - Entry Level

GlydwaysRichmond, VA
Hybrid

About The Position

Glydways is reimagining what public transit can be. We believe that mobility is the gateway to opportunity—connecting people to housing, education, employment, commerce, and care. By making transportation more accessible, affordable, and sustainable, we empower communities to thrive and unlock economic and social prosperity. Our mission is to revolutionize transit with a solution that delivers high capacity, exceptional user experiences, unmatched affordability, and minimal environmental impact. The Glydways system is a groundbreaking network of carbon-neutral, interconnected transit pathways powered by standardized autonomous vehicles on dedicated roadways. Operating 24/7 with on-demand access, it offers personalized and efficient mobility—without the burden of heavy upfront infrastructure costs or ongoing taxpayer subsidies. With Glydways, we’re building more than a transportation system; we’re creating a future where everyone, everywhere, has the freedom to move. We are looking for a Financial Analyst to join our team — an early-career finance professional with a strong foundation in accounting, financial analysis, and financial modeling. In this role, you will support budgeting, forecasting, reporting, and business planning while working cross-functionally to drive informed decision-making. The ideal candidate combines solid accounting fundamentals with advanced Excel skills and a talent for translating complex data into clear, actionable financial insights.

Requirements

  • Bachelor’s degree in Finance, Accounting, or Economics with some accounting classwork.
  • Foundation in finance or accounting, with exposure to areas such as FP&A, corporate finance, transaction advisory, or project finance.
  • Understanding of financial statements, including income statement, balance sheet, and cash flow statement relationships.
  • Exposure to financial modeling in Excel, including budgeting, forecasting, and sensitivity analysis.
  • Proficiency in Microsoft Excel, including advanced formulas, lookups, logical functions, tables, and model organization best practices.
  • Strong analytical, quantitative, and problem-solving skills.
  • High attention to detail and commitment to accuracy.

Responsibilities

  • Build, maintain, and improve financial models for budgeting, forecasting, scenario analysis, and long-range planning.
  • Support financial reporting processes including monthly and quarterly updates and reconciliation.
  • Prepare analyses related to operating expenses, revenue trends, cash flow, and profitability.
  • Develop dashboards, presentations, and ad hoc analyses as needed.
  • Improve the structure, accuracy, and usability of financial files, reporting packages, and planning tools.
  • Ensure data integrity across spreadsheets, reports, and source systems.

Benefits

  • stock options
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