Finance Analyst

  • Miramar, FL
  • Posted 13 days ago | Updated 12 days ago

Overview

Hybrid
Depends on Experience
Contract - W2
Contract - 12 Month(s)

Skills

GAAP principles
SAP FICO
reconciling
invoices

Job Details

Job Description: Finance Finance
Local to Miramar, required to be onsite 3 days a week
 
 
Overview
  • Supports execution of specific IT processes in response to business needs.
  • Gathers, interprets data, defines and monitors processes and documentation.
  • Drives standardization and identifies opportunities for automation and efficiency.
  • Resolves data/process discrepancies and coordinates activities or KPIs.
 
Key Responsibilities
  • Gather, analyze, and interpret data.
  • Identify trends, patterns, and business insights.
  • Submit reports to relevant departments and management.
  • Track, reconcile, and validate data accuracy.
  • Document processes and standard operating procedures.
  • Define and monitor KPIs.
  • Collaborate with business/IT stakeholders to prioritize initiatives.
  • Act on exceptions in metrics to address issues.
  • Support various IT processes (Vendor Management, Asset Management, etc.).
  • Perform cross-functional duties and virtual collaborations.
 
Minimum Qualifications
  • Bachelor's Degree.
  • Critical and strategic thinker.
  • Strong problem-solving and analytical skills.
  • Team player with leadership potential.
  • Strong planning, organizational, and collaboration skills.
  • Excellent communication and interpersonal skills.
  • Business acumen and customer service excellence.
  • Capable of conducting root-cause analysis and implementing corrective actions.
 
Preferred Qualifications
  • Master s Degree.
 
Specialized Skills & Technologies
  • Knowledge of GAAP principles.
  • Familiarity with SAP FICO or equivalent financial systems.
  • Experience in tracking and reconciling IT spend and invoices.
  • Ability to support P&L development and budget planning.
  • Financial analysis of expenses, aged invoices, and structural margin loss.
  • Monthly reconciliation, reporting, and closing activities.
  • Collaboration with AP, Accounting, IT, and Trade Development teams.
  • Assist with internal financial procedures and budget alignment.
 
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