About the role
- Build dynamic financial models that connect revenue drivers, margin levers, and cash flow needs across all channels
- Update weekly and monthly reporting across sales, margin, and cash flow performance
- Track and summarize key KPIs that measure how efficiently we’re scaling
- Help maintain a rolling 13-week cash flow forecast with full visibility into inflows and outflows
- Assist in monitoring inventory, payables, and receivables to improve cash flow
- Support cost optimization, pricing strategy, and capital allocation initiatives as the business scales
- Collaborate with Sales, Marketing, and Operations to develop financial models for new product launches, pricing, and promotions
Requirements
- Bachelor’s degree in an analytical field
- 4+ years of experience with financial modeling, Excel/Google Sheets and SQL; experience with BI tools (Tableau, Looker, Power BI, or similar)
- Prior experience with e-commerce sales platforms like Shopify and Amazon is a plus
- The ability to operate independently while clearly communicating your priorities and initiatives to the rest of the team
- Professional fluency in English with excellent written, reading, and speaking skills
- Access to a laptop/desktop with reliable and fast Internet connection
- Ability to work in a US time zone, Monday to Friday (8 hours per day)
- Previous experience working the overnight shift
- Competitive pay, always in US dollars
- Work remotely from the comfort of your home
- Health & wellness benefit
- Paid holidays and time off
- Performance and referral bonuses
- Global exposure to the world’s best companies
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills
financial modelingExcelGoogle SheetsSQLBI toolsTableauLookerPower BIcash flow forecastingKPI tracking
Soft skills
independent operationcommunicationprioritization
Certifications
Bachelor’s degree