Location
Hybrid roles require role responsibilities to be performed in the office at least 3 days a week, Monday, Wednesday & Thursday.
What You’ll Need
- 2-4 years in Financial Planning & Analysis (FP&A), investment banking, management consulting, and/or forecasting roles
- A Bachelor's degree in Finance, Economics, or Accounting; MBA, CMA, CPA a bonus
- Experience in working under US GAAP and accrual-based accounting
- Strong understanding of advanced lookup functions in Excel. Fluent in Microsoft Office suite / Google suite
- Familiarity with Hyperion - Smartview, Adaptive Insights, Anaplan, or other financial planning software
- Exceptional problem-solving and analytical abilities with the ability to change or pivot based on business needs
- Excellent written, verbal communication, and time management skills
- Strong interpersonal skills and the ability to foster trust with an executive team and cross-functional business partners
- A stellar work ethic, a high degree of self-motivation, and a desire to grow with the company
- A goal-oriented mindset, as well as being bright and kind
About the Role
As an Analyst on the Finance and Strategy team, you will play a critical role in continuing to build out our F&S presence in India. You will have the unique opportunity to influence the trajectory of Opendoor's growth through forecasting, monitoring, and reporting on the P&L and key metrics of our business. You'll help forecast the company's financial trajectory and develop a deep understanding of our business model while also partnering with a wide variety of partners across the company.
Ideally, you have experience in P&L reporting, forecasting, analytics and developing financial models at a retail, e-commerce, or technology business. Your expertise in establishing structure and creating scalable financial models and processes will be invaluable in supporting the organization’s growth.
What You’ll Do
- Drive monthly and quarterly financial reporting
- Help build and maintain instrumentation that allows Company leadership to measure business performance against both short-term and long-term objectives
- Build forecasting models and track financial performance to help business partners understand major cost drivers and make strategic trade-offs
- Become a subject-matter expert in all matters of internal financial reporting
- Pay meticulous attention to detail in financial reporting and analysis to ensure data integrity and compliance
- Partner with the business to support strategy and decision-making, lead ad hoc financial modeling and analysis, and build detailed financial, scenario based models to evaluate investment priorities and potential alternatives
Bonus points if you have
- Experience in stakeholder management and / or business partnering
- Experience at fast-paced, high-growth technology start-up
- Knowledge of SQL, and/or open to learning other data tools
#LI-Hybrid #LI-RJ1