Sr. Financial Analyst, Treasury

Revelyst•Irvine, CA
•Onsite

About The Position

We are seeking a highly motivated Sr. Finance Analyst with a focus on Treasury to join our team. This role is ideal for someone who is excited to build, improve, and scale financial processes in a fast-paced environment. You will play a key role in supporting liquidity planning, financial visibility, and operational decision-making. This is a hands-on role for someone who is analytical, detail-oriented, and willing to roll up their sleeves to make things happen. This position reports to the Vice President of Treasury & Tax, and is based out of our Irvine office.

Requirements

  • A Bachelor’s Degree in Finance, Accounting, or related field with 4 years’ experience in FP&A
  • Advanced Microsoft Excel & PowerPoint skills.
  • Highest standards of accuracy and precision; highly organized
  • Articulate with excellent verbal and written communication skills
  • Demonstrated ability to roll-up sleeves and work with team members in a hands-on management capacity
  • Excellent analytical skills, experience managing large data quantities from multiple sources
  • Ability to think and act strategically and develop operation and strategic plans
  • Comprehensive business understanding of processes and structure
  • Ability to operate cross-functionally with strong understanding of external business drivers

Nice To Haves

  • Experience with ERP or Finanicial Systems (NetSuite, Oracle)
  • Understanding of financial statement and cash flow dynamics.
  • Exposure to cash flow forecasting or treasury related work.

Responsibilities

  • Support daily cash tracking, forecasting, and liquidity planning
  • Monitor cash activity and help optimize working capital
  • Assist in managing banking relationships and account structures
  • Ensure accuracy and timeliness of cash reporting
  • Build and maintain cash flow forecasts (short-term and long-term)
  • Develop and track KPIs related to liquidity, working capital, and operational performance
  • Analyze variances and provide clear, actionable insights
  • Support recurring and ad hoc reporting for leadership
  • Help build scalable financial models, reports, and processes from the ground up
  • Identify inefficiencies and drive improvements across workflows
  • Partner cross-functionally with accounting, FP&A, and operations
  • Leverage Excel and financial tools to automate and improve reporting
  • Support enhancements to financial systems and data processes
  • Maintain well-organized, auditable models and datasets

Benefits

  • medical and dental
  • vision
  • disability and life insurance
  • 401K
  • PTO
  • paid holidays
  • gear discounts
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