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Salary: USD 99,000 - 130,000 / annual
Anduril Industries, a defense technology company transforming military capabilities through advanced AI and autonomy, seeks a Senior Financial Analyst to join the Corporate FP&A team. This role owns financial planning and analysis for multiple SG&A departments, serving as a key business partner to drive strategic decision-making and optimize financial performance.
Key responsibilities include leading financial planning and analysis activities: owning reporting, budgeting, forecasting, and business partnering for multiple departments; collaborating with cross-functional teams including Corporate Operations and Accounting to prepare annual budgets, quarterly forecasts, and long-term financial plans; and analyzing current and historical financial data to prepare reports, scenarios, and projections.
You will manage cash flow and balance sheet activities, supporting cash flow forecasting efforts to ensure liquidity and financial stability, conducting thorough balance sheet analyses, and reporting on key financial indicators. Financial modeling is central to the role: building comprehensive models to support strategic initiatives, conducting sensitivity analysis on various risks and opportunities, and developing analytics and automations to drive insights into business trends.
Performance monitoring and reporting are critical functions. You will monitor and report on financial performance, highlight trends, analyze variances, and serve as a subject matter expert on drivers, project codes, and variance analysis. You'll lead development of executive-level reporting and present financial insights to senior management, creating insightful presentations that communicate complex financial data through clear visuals and commentary.
Process improvement is an ongoing focus: identifying and implementing improvements to streamline FP&A activities, enhance reporting accuracy, and drive continuous improvement in financial reporting tools, systems, and procedures.
Required qualifications include a Bachelor's degree in Finance, Accounting, Economics, or related field (MBA/MS or certifications like CPA, CFA, FMVA, CMA preferred); 3-5 years of experience in financial analysis, modeling, and forecasting in finance, corporate FP&A, investment banking, or consulting; strong expertise in cash flow management and working capital optimization; advanced Excel and financial modeling proficiency; demonstrated ability to lead process improvement initiatives; excellent communication and presentation skills; proven track record managing multiple projects in deadline-driven environments; experience with financial reporting tools and ERP systems (Anaplan, NetSuite, Oracle, Foundry); and US work authorization.