Program Finance Analyst

CACIAberdeen Proving Ground, MD
Hybrid

About The Position

CACI is seeking a Program Financial Analyst to work at CACI Aberdeen Proving Grounds, Maryland. This is a hybrid position and is required to be onsite at least one day per week.

Requirements

  • Active Secret security clearance with eligibility to upgrade to TS/SCI.
  • BA/BS and 3+ years’ experience (OR) Associates degree and 7 years’ experience (OR) High School and 9 years of experience.
  • Experience supporting financial analysis requirements on USG/DoD contracts.
  • Expert Proficiency in MS Excel.
  • Analytical skills, abilities, and subject-matter knowledge that supports all aspects of financial management.
  • Experience with federal funding regulations, appropriation types and associated federal funding regulations.

Nice To Haves

  • Detail-oriented with the ability to multitask and quickly respond to new priorities and requirements.
  • Demonstrated knowledge of established guidelines and procedures to maximize the utilization of available funds.
  • Familiarity with reading contract funding mods, MIPR lines of accounting, and GFEBs reports.

Responsibilities

  • Perform routine and non-routine project financial reporting including, but not limited to: 75% Funding Notifications, Estimates to Complete, Estimates at Completion, Forecast and Budget Reports, Invoice Backup Reports, and various other client-specific reports.
  • Analyze plans, forecasts, actual costs, variances and communicate trends to the program, line, and financial management.
  • Develop, coordinate, and track funding and budget activities.
  • Apply both government and industry acquisition procedures and policies to ensure compliance of all regulations.
  • Provide financial execution of program related work including Funding Requests, De-obligation Requests, Realignment Requests, Military Interdepartmental Purchase Requests (MIPRs), MIPR Acceptances, and Funding Support Agreements (FSA) for submission to the Division Budget Analyst.
  • Prepare project financial documents and status reports.
  • Provide technical budget support by serving as a source of budgetary information for various appropriated and reimbursable accounts.
  • Provide up-to-date budgetary information through maintenance of an MS Excel Financial workbook and update various files on Share Point.
  • Adjust a wide variety of appropriated fund accounts to reflect the effects of budgetary transactions.
  • Determine appropriate accounting classification and appropriations to be charged by object class, fiscal year, and element of resource.
  • Provides input for the development of annual budget submission and engages with client to provide recommendations for funding allocations.

Benefits

  • healthcare
  • wellness
  • financial
  • retirement
  • family support
  • continuing education
  • time off benefits
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