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Financial Analyst

Cholla, Inc.

Financial AnalystWe are seeking a highly motivated and detail-oriented Financial Analyst to join our team. This individual will play a key role in shaping financial strategy and supporting decision-making across the organization. The Financial Analyst is responsible for financial planning, modeling, analysis, and reporting. The role involves preparing financial reports, conducting variance analysis, and assisting in budgeting and forecasting processes to help the company achieve its financial objectives. The ideal candidate has strong analytical skills, experience in corporate finance or investment analysis, and a passion for driving business insights through data.Key ResponsibilitiesWork with department leaders to build and maintain detailed cash flow models to support strategic initiativesCreate, maintain, and publish regular weekly, monthly, and quarterly reporting on investment performance and KPIs to aid decision-making and business managementSupport investment evaluations using due diligence and valuation methodologies such as DCF, comparable company analysis, and precedent transactionsMonitor commodity pricing and conduct supporting analysis to assist in recommending hedging strategies to manage financial risk exposureAnalyze financial performance and trends; prepare periodic financial reports and variance analysesSupport Treasury in managing short-term liquidity through daily cash positioning and forecastingAssist in the annual update of oil and gas reserve reportsReconcile treasury transactions and support internal and external audit requestsMonitor debt covenants and credit facility utilizationAssist in the annual creation of tax schedules for consolidated tax returnsSupport Treasury, Finance, and Accounting internal systems optimization and data integrityEvaluate and implement automation tools to enhance financial modeling, forecasting, and decision support processesReporting RelationshipsReports to: Director of FinanceWorks closely with: VP of Operations and Director of Treasury, Tax, and RiskQualificationsFPAC, CTP, CFA, or progress toward designation preferred2–4 years of experience in corporate finance, management consulting, or investment bankingStrong financial modeling skills requiredExcellent analytical and quantitative skills to think strategically and provide thoughtful analysis across the organizationAbility to work independently and collaboratively in a fast-paced environmentProficiency in Microsoft Excel and PowerPointFamiliarity with technology systems, with the ability to learn new software quickly and troubleshoot technical issuesFamiliarity with ERP systems, treasury platforms, and hedging instruments (e.g., ISDA, swaps, forwards)Experience in the Oil & Gas or Digital Infrastructure industry is a plus

Vacancy posted 3 days ago
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