Summary The Senior Strategic Financial Analyst, will own and continuously develop the company’s long-term financial model used to evaluate growth initiatives and capital investment decisions. This role is highly analytical and hands-on, focused on building and maintaining dynamic multi-year financial models that support expansion into new markets through greenfield investments and acquisitions. The position will work with senior leadership and cross-functional teams to translate business plans into clear financial projections, scenarios, and investment analysis that support strategic decision-making. Reporting Relationship This role reports to the Chief Financial Officer (CFO) and works closely with the broader finance team and leaders across the business including Expansion, Operations, and Accounting. The role will participate in strategic planning discussions and provide financial modeling and analytical support to leadership as expansion plans evolve. Core Focus of the Role The primary focus of this role is to: Build, maintain, and continuously refine the company’s long-term strategic financial model Translate expansion plans and investment decisions into multi-year financial projections Model complex growth initiatives including greenfield expansion and acquisitions Develop scenario analyses to evaluate alternative investment paths and operating outcomes Track actual performance versus long-term projections and update assumptions as new data emerges Support strategic planning discussions with clear financial insights and analysis Key Responsibilities Long-Term Financial Modeling Build and maintain integrated multi-year financial models supporting the company’s growth strategy Translate business expansion plans into structured financial projections Model market entry economics including revenue ramp, cost structure, and capital investment requirements Update models as assumptions evolve and new market information becomes available Scenario & Sensitivity Analysis Develop scenario frameworks to evaluate different expansion pacing and investment strategies Identify key drivers of profitability, capital requirements, and returns Analyze upside, downside, and sensitivity scenarios to support decision making Support financial evaluation of major growth investments including: New market entry and greenfield expansion Real estate investments and lease decisions Acquisition opportunities Capital allocation across markets and projects Performance Tracking Compare actual performance to long-term projections Identify key variances and refine model assumptions Improve model accuracy as the business scales and more data becomes available Cross-Functional Collaboration Collaborate with Commercial Finance, FP&A and Accounting to align long-term projections with annual plans and reporting
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Job Type
Full-time
Career Level
Mid Level