Senior Financial Analyst

Spurs Sports & Entertainment•San Antonio, TX
•Onsite

About The Position

The Senior Financial Analyst, FP&A plays a key role in supporting financial planning, forecasting, and performance analysis across the organization. Reporting to the FP&A Associate Manager, this position partners closely with business leaders to develop forecasts, analyze financial performance, and provide insights that support decision-making across both franchise and venue operations. This role is responsible for executing core FP&A processes, including planning and forecasting, while translating operational drivers into financial outcomes. The position also supports cash flow forecasting and long-range financial planning, contributing to liquidity and capital decision-making as the organization evaluates strategic initiatives.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related field
  • 3–5+ years of experience in FP&A, corporate finance, or related analytical role
  • Strong financial modeling and forecasting experience
  • Experience supporting planning, forecasting, and financial reporting processes
  • Strong proficiency in Excel

Nice To Haves

  • Experience with financial planning systems preferred
  • Experience in multi-entity or complex operating environments preferred

Responsibilities

  • Maintain and enhance financial forecasting models across key business units, incorporating relevant operational drivers and assumptions.
  • Support and execute the annual planning process, including coordination of inputs, development of templates, and consolidation of results.
  • Develop and maintain short- and long-term cash flow forecasts, including liquidity projections and scenario-based planning to support financial and capital decision-making.
  • Perform variance analysis across financial results and cash flow, identifying key drivers, risks, and opportunities.
  • Support scenario modeling related to strategic initiatives and investments, including evaluation of funding and liquidity impacts.
  • Collaborate with Accounting and Finance teams to ensure alignment between actual cash activity, reporting, and forward-looking projections.
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