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Hybrid FP&A & Treasury Analyst - Cash Flow & Forecasting

Solo Brands

Solo Brands is seeking a Financial Analyst to support FP&A and Treasury functions. The role emphasizes cash forecasting, budgeting, forecasting, and cross-functional collaboration in a dynamic environment. Hybrid schedule requires in-office presence at least 3 days per week, with commutable distance to Grapevine, TX. The ideal candidate has 2+ years in corporate finance or treasury, strong Excel and modeling skills, and the ability to present to senior leadership. #J-18808-Ljbffr Solo Brands

Vacancy posted 10 hours ago
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