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Senior Financial Analyst
solsourceSenior Financial Analyst supporting FP&A, cash flow management, and finance operations for residential solar finance platform. Building models and improving processes in a dynamic startup environment.
Posted 7/27/2026full-timeRemote • Texas • 🇺🇸 United StatesSenior💰 $100,000 - $140,000 per yearWebsite
Core Competencies
Role fitCore Competencies
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Demonstrates expertise in financial analysis, modeling, and reporting, with a strong focus on accuracy and timeliness. Proficient in managing complex financial data and delivering actionable insights to support strategic decision-making.
Highest-signal resume keywords
Financial AnalysisFinancial ModelingAdvanced Microsoft ExcelBudget ManagementVariance Analysis
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
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Hard Skills
Financial AnalysisFinancial ModelingBudget ManagementVariance AnalysisData Pipeline DevelopmentReporting AutomationCash Flow ModelingGL MappingCost Center TrackingAudit Preparation
Soft Skills
Analytical SkillsAttention to DetailExcellent CommunicationSelf-StarterOwnership Mentality
Tools & Technologies
Microsoft ExcelPower QueryAI Tools
Industry Keywords
FP&ACompliance DeliverablesFinancial ReportingMulti-Entity StructureOperational Reporting
About the role
Key responsibilities & impact- Support month-end close, forecast updates, and annual budget processes with accuracy and timeliness
- Perform variance analysis comparing actual results to budget and forecast; surface trends and actionable insights
- Prepare financial reports and summary packages for internal leadership, lenders, investors, and external stakeholders
- Assist in the preparation of compliance deliverables required under the Company’s Credit Agreement (e.g., monthly account statements, cover sheets, bank statement packages)
- Support management reporting by consolidating accounting, operational, and financing data into clear and accurate deliverables
- Maintain reporting calendars and ensure recurring finance deliverables are completed accurately and on time
- Maintain and update cash flow models across multiple SolSource entities
- Track milestone payments, draw schedules, and fund flows across the Company’s multi-entity structure
- Support monthly and quarterly budget vs. actual reporting, including GL mapping, vendor-level analysis, and cost center tracking
- Monitor entity-level cash activity, identify funding and liquidity needs, and analyze budget variances and timing impacts.
- Partner with finance leadership to maintain rolling forecasts and improve visibility into operating costs, transaction funding, and capital needs.
- Prepare and organize audit-ready financial documentation for lender reviews, investor due diligence, and regulatory requirements
- Coordinate with auditors, legal counsel, and capital providers on document requests and compliance deliverables
- Help ensure financial records, backup materials, and reporting packages are complete, accurate, and easy to review.
- Identify and lead improvements to manual reporting and forecasting processes
- Build and maintain data pipelines, Excel models, and reporting tools that reduce repetitive work and improve accuracy
- Partner with cross-functional teams to systematize cost tracking, milestone management, and cash and financial reporting
- Collaborate with operations, legal, and leadership on financial modeling for new products, structures, and transactions
- Contribute to weekly business reviews by consolidating data inputs and ensuring report accuracy
- Support ad hoc financial analysis and special projects as directed
Requirements
What you’ll need- Bachelor’s degree in Accounting, Finance, or a related field
- 3-6 years of experience in financial analysis, financial modeling, FP&A, or budget management
- Strong analytical skills with keen attention to detail
- Advanced proficiency in Microsoft Excel (financial modeling, SUMIFS, Power Query, pivot tables)
- Ability to manage multiple tasks simultaneously under tight deadlines
- Excellent written and verbal communication skills
- Independent self-starter: able to receive a task and execute with minimal direction
- Comfortable operating in a fast-moving, ambiguous startup environment
- High ownership mentality, strong judgment, and willingness to roll up sleeves on both analytical and operational tasks
- Experience using AI tools to improve finance workflows, including reporting automation, variance analysis, document review, data cleanup, Excel model support, and repeatable process design
Benefits
Comp & perks- Bonus opportunity 📊 Check your resume score for this job Improve your chances of getting an interview by checking your resume score before you apply. Check Resume Score