Sr Financial Analyst

Zachry GroupSan Antonio, TX

About The Position

The Senior Analyst, Corporate Finance supports enterprise liquidity management by owning and enhancing cash forecasting tools, compiling and analyzing multi-source financial data, and producing timely, decision-ready reporting for Finance and Treasury leadership. The role drives continuous improvement in forecasting quality, variance analysis, and reporting automation (with a pathway to Power BI or similar platforms) while partnering with business groups and support functions to embed cash insights into operational decision-making. Experience in cash flow modeling and liquidity analysis is highly advantageous.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related field.
  • 4–6+ years of experience in Corporate Finance, FP&A, Treasury, or similar analytical roles.
  • Strong proficiency in Excel, including financial modeling, multi-source data manipulation, and advanced formula logic.
  • Experience with cash flow analysis, forecasting, and variance explanation.
  • Ability to synthesize complex financial information into clear, structured, and actionable insights.
  • Strong organizational skills with the ability to manage multiple deadlines independently.

Nice To Haves

  • Experience with Power BI or similar data visualization tools.
  • Prior exposure to liquidity management, treasury processes, or enterprise-level forecasting.
  • Familiarity with project-based industries or EPC-type cash drivers.
  • Knowledge of data governance, process controls, or analytical automation methods.

Responsibilities

  • Responsible for the day‑to‑day operation of the enterprise cash forecasting cycle in alignment with established governance, standards, and reporting calendars.
  • Maintain and enhance enterprise cash forecasting tools, including complex spreadsheet-based models integrating data from multiple internal and external sources.
  • Issue standardized information requests to business group and support-function stakeholders; manage deadlines, data validation, follow-ups, and escalations as needed.
  • Perform recurring updates, reconciliation, and quality checks to ensure accuracy, completeness, and timeliness of cash projections.
  • Continuously refine forecasting models, drivers, and assumptions to improve transparency, usability, and forecast reliability.
  • Support the migration of cash forecasting tools toward more automated, scalable solutions, including Power BI or other analytics platforms.
  • Compile, analyze, and synthesize financial and cash flow data to support Finance and Treasury reporting requirements, including Enterprise cash forecasts, Business group and operational cash forecasts, Proposal-related financial analyses and treasury deliverables.
  • Perform variance analysis (forecast vs. actual), investigate drivers, and clearly articulate findings and implications to stakeholders.
  • Collaborate with business group finance managers, operations, and accounting teams to validate assumptions and integrate cash considerations into business-level planning.
  • Develop concise commentary and executive-ready insights highlighting performance trends, risks, opportunities, and corrective actions.
  • Partner with Finance, Treasury, FP&A, Accounting, and business group leaders to ensure alignment of inputs, assumptions, and timelines across the forecasting process.
  • Strengthen organizational adoption of cash forecasting by improving clarity, consistency, and communication of expectations.
  • Operate with professional authority and influence, ensuring that information requests are understood as part of governed corporate processes rather than discretionary analyst tasks.
  • Support enterprise efforts to standardize cash-related reporting, data flows, and terminology across functions.
  • Execute targeted financial analysis to support business initiatives, strategic projects, investment considerations, and liquidity-related questions.
  • Provide rapid-turnaround analysis and decision support for Finance and Treasury leadership on time-sensitive requests.
  • Accountable for consolidated enterprise cash forecast accuracy, completeness, and timely publication.
  • Authorized to manage data requests, enforce deadlines, and coordinate escalations in accordance with published forecasting governance.
  • Recommends and implements approved updates to forecasting methodology, tool structure, and automation pathways.
  • Identifies risks, variances, and data quality issues and escalates promptly when impacts to forecast integrity or leadership decision-making may occur.
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service