Senior Financial Analyst
United StatesJob Description
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About Calabrio: Calabrio is a premier, internationally recognized Customer Experience (CX) technology pioneer, enterprise SaaS innovator, and digital workforce productivity leader on an absolute mission to help organizations elevate consumer interactions through advanced cloud-delivered automation. Operating a high-velocity, global product culture in close tandem with the Verint technology collective, Calabrio unifies data streams from more than 40 nationalities to help global brands answer shifting market challenges with absolute precision. Grounded in a transparent, people-first corporate philosophy that prizes workplace diversity and mutual respect, Calabrio provides high-agency finance executives with an uncompromised remote canvas to model global corporate expenses, direct high-stakes forecasting, and deploy sophisticated budgeting patterns that fuel exponential career opportunities safely worldwide.
Position Overview
We are seeking a highly analytical, systems-minded Senior Financial Analyst to join our core centralized Finance & Accounting division in a full-time remote capacity across the United States, with a strategic operational focus in Atlanta, Georgia. In this high-leverage and high-visibility corporate track, you will step up to claim individual strategic operational accountability for directing financial support loops and fiscal metrics across several high-value business functions. Shifting completely away from routine spreadsheet clerical recording, you will act as the principal FP&A point of contact for senior leadership teams—structuring annual budgeting benchmarks, leading monthly forecasting iterations, and evaluating operations to maximize store-level and corporate value. This position requires a finance veteran with a minimum of 6 years of accounting or finance background who tracks global expense actuals fluidly, coordinates cross-functional reconciliation loops smoothly, and designs advanced financial simulation matrices confidently natively using Excel.
Key Responsibilities
- Global Corporate Expense Governance: Oversee, audit, and manage financial reporting structures and expense data streams across multiple international business divisions natively utilizing Financial Analyst analytical principles.
- Executive-Tier Strategic Collaboration: Serve as the primary FP&A liaison and advisory partner for Senior Leaders of the company, managing the preparation and presentation of monthly financial results and corporate KPI metrics.
- Advanced Forecasting and Variance Analysis: Drive rigorous financial forecasting architectures, analyzing actual financial and operational metrics at individual budget levels while conducting routine alignment reviews with business unit owners.
- Process Optimization and Control Design: Continuously evaluate operational inefficiencies across matrixed corporate environments, managing the implementation of robust accounting process improvements and internal control systems.
- High-Fidelity Strategic Financial Modeling: Construct, scale, and test advanced financial and operational simulation models natively leveraging Spreadsheets (Excel/Google Sheets) platforms to back stop executive decision-making.
- General Ledger Accuracy Verification: Review monthly actual financial numbers meticulously during the corporate close process to preserve data integrity, validating entries against enterprise resource planning frameworks like Oracle and Hyperion.
- Ad-Hoc Strategic Triage: Conduct complex, spontaneous data queries and ad-hoc quantitative analyses requested by business heads to evaluate emerging monetization streams or operational risks.
- Interpersonal Matrix Communication: Communicate financial insights clearly and concisely across multi-tier audiences, utilizing cross-functional influence to solicit project support and resolve resource conflicts.
Required Skills & Qualifications
- A minimum of 6 years of verified professional history running commercial corporate finance, financial planning and analysis (FP&A), corporate accounting, or financial data architecture consulting.
- A minimum of 4 years of progressive management and team leadership experience directing analytical operations inside an enterprise corporate landscape.
- Deep, authoritative technical command of financial analysis models, cash flow forecasting, budget lifecycle mapping, cost variance parsing, and ledger close processes.
- Expert-tier capability writing nested logical statements, building dynamic visual charts, and optimization modeling natively utilizing Spreadsheets (Excel/Google Sheets) (requiring advanced, hands-on Excel fluency).
- Practical operational familiarity navigating and extracting enterprise data rows out of professional corporate management systems (specifically Oracle and/or Hyperion environments).
- Possession of a formal university Bachelor’s degree with a concentration in Accounting or Finance (or the equivalent verified timeline of professional hands-on corporate experience).
- Outstanding verbal, written, and document communication traits in business-fluent English, enabling absolute confidence when presenting complex data trends and financial projections before multi-tier executive audiences.
- Location Context and Clearance: Position open exclusively to qualified financial analysts base-stationed permanently and resident within the United States to operate under a 100% remote layout, subject to successful completion of a comprehensive background screening (including criminal search, credit, and drug evaluation where applicable).
Preferred Strategic Indicators (Nice to Have)
- Possession of a formal advanced degree (such as an MBA or Master’s in Finance/Accounting) or active professional certifications (CPA or CFA tracks).
- Prior commercial financial history operating explicitly within a high-growth enterprise software-as-a-service (SaaS) provider, global B2B digital consultancy, or heavy cloud-native tech infrastructure engine.
- An outcome-driven personal philosophy matching the Calabrio core value traits: being inherently Open, Clear, Ambitious, Accountable, Collaborative, and Consistent.
What We Offer
- Competitive United States Salaried Structure: An attractive full-time base compensation package, with a targeted starting rate of pay calibrated at $100,000 USD per year, meticulously evaluated to reward your FP&A management authority and data modeling velocity.
- The exceptional professional canvas to directly direct, shape, and code-model the corporate budgeting matrices power-routing operational growth for an industry-leading CX automation studio.
- Profound work-from-home remote parameters offering an elite distributed workspace layout, complete scheduling trust, and zero physical geographic office commuting friction across America.
- Immediate baseline access to cutting-edge benefit programs, providing complete health, dental, and vision insurance alongside company-provided disability and life protections.
- Access to elite financial accumulation and personal learning perks, featuring a 401(k) plan with company matching, generous tuition reimbursement frameworks, paid parental leave, paid holidays, and flexible PTO.
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