About The Position

Attindas Hygiene Partners designs, manufactures, and markets absorbent hygiene products. The company sells adult incontinence and infant diapers, among other products, into the healthcare, retail, and direct-to-consumer channels under brands including Attends, Indas, and Comfees as well as a wide range of private label brands for retailers. Mission: We champion health, dignity and comfort. Vision: To be a global leader in absorbent hygiene by meeting consumers’ diverse needs through effective, affordable and widely available personal care solutions. Our Values: Personal, Agile, Innovative, and Integrity Job Summary: We are seeking a highly motivated and analytical Financial Business Analyst to support financial planning, operational efficiency, and cross-functional decision-making. This role blends financial expertise with business acumen to drive performance across departments, ensure compliance with accounting standards, and contribute to treasury operations.

Requirements

  • Bachelor’s Degree in Accounting, Finance, or Business.
  • 3+ years of experience in financial analysis or accounting, preferably in manufacturing or consumer goods.
  • Proficiency in Microsoft Office, Oracle Financial Systems, and BI tools (e.g., Power BI, Tableau).
  • Strong organizational, problem-solving, and leadership skills.
  • Excellent communication and presentation abilities.
  • Solid understanding of GAAP, technical accounting, and treasury operations.

Nice To Haves

  • CPA/CMA certification a plus.

Responsibilities

  • Consolidate and analyze financial data from multiple business units, including variance analysis across multiple periods.
  • Ensure timely and accurate reporting of actuals vs. forecast and budget.
  • Monitor and report on budget adherence, providing actionable insights to improve financial discipline.
  • Assist with the budgeting and forecasting processes.
  • Collaborate with departments to gather inputs and validate assumptions for budget and forecast models.
  • Support weekly and monthly metrics reporting.
  • Design and maintain dashboards for financial KPIs and operational metrics.
  • Automate reporting processes to improve accuracy and reduce turnaround time.
  • Present insights and recommendations to senior leadership and stakeholders.
  • Generate ad hoc reports to support strategic initiatives and operational decisions.
  • Collaborate with IT and business units to define and enforce data governance standards.
  • Monitor and resolve data quality issues, proactively identifying discrepancies and recommending corrective actions.
  • Analyze large datasets to uncover trends, patterns, and actionable insights for business improvement.
  • Support the development of new BI dashboards and metrics in response to evolving business needs.
  • Support daily cash position reporting and liquidity analysis.
  • Assist in short-term cash forecasting and variance analysis.
  • Monitor bank balances, cash inflows/outflows, and intercompany funding.
  • Help manage working capital and optimize cash flow across business units.
  • Ensure compliance with treasury policies and banking covenants.
  • Participate in treasury system enhancements and automation initiatives.
  • Assist in developing and maintaining multi-year CapEx forecasts aligned with strategic and operational goals.
  • Analyze actual vs. forecasted CapEx spend and identify key variances for reporting and corrective action.
  • Prepare financial summaries and variance analysis for monthly and quarterly CapEx reviews.
  • Track and report on top capital initiatives, especially those exceeding defined thresholds (e.g., $500K).
  • Monitor competitive vs. allocated funding to ensure proper categorization and budget adherence.
  • Participate in monthly CapEx review meetings to assess incoming ARs and unbudgeted requests.
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