Prior experience in a startup or high-growth organization, demonstrating adaptability and flexibility to thrive in such environments
Direct experience building or owning a cash flow forecast
Experience with R&D capitalization, new product introduction, or product P&L ownership
Working proficiency in SQL and comfort querying large data sets directly
Familiarity with GPU compute, AI/ML workloads, or cloud infrastructure economics
Salary Range Information
Have a bachelor's degree in Finance, Accounting, Economics, or a related field
Have 4+ years experience in FP&A, corporate finance, investment banking, or consulting, ideally with a focus on Cloud / AI infrastructure, SaaS, Data centers, Telecom, Hardware, or industrials
Have direct experience partnering with Engineering or Product organizations on budget, roadmap, and investment decisions
Possess extensive experience in financial modeling and analysis, with a deep expertise in constructing complex financial models and interpreting financial statements to drive strategic decision-making
Have excellent analytical, strategic thinking, and decision-making skills
Possess strong Excel skills and experience with financial software systems
Have the ability to thrive in a fast-paced, high-growth environment, balancing multiple complex projects
Have excellent written and verbal communication skills with the ability to present complex data clearly and concisely
Are a team player with a positive attitude, strong work ethic, and a commitment to continuous improvement
Are able to work in an ambiguous environment with very little direction