More jobs:
Analyst/Associate, Corporate Development, Strategic Finance
Job in
Dallas, Dallas County, Texas, 75215, USA
Listed on 2026-09-12
Listing for:
Jobtailor
Full Time
position Listed on 2026-09-12
Job specializations:
-
Finance & Banking
Financial Analyst, Corporate Finance
Job Description & How to Apply Below
- Own the corporate operating model, including the scenario layer supporting planning, financing, and transaction analysis
- Lead the analytical build of the annual operating plan and quarterly reforecasts
- Work with department heads to translate operating inputs into a defensible financial plan
- Produce monthly variance analysis and supporting narratives for management, Board, and sponsor reporting
- Own cash flow forecasting, including the 13-week forecast and long-range view tied to the operating model
- Support M&A and corporate development, including target modeling, diligence, synergy analysis, and post-close integration tracking
- Prepare analysis and exhibits for Board, sponsor, and lender deliverables, including debt maturity, refinancing analysis, and recurring securitization reporting
- Partner with construction, sales, operations, and marketing on budgets, business cases, and return analysis
- Apply modern AI tooling, including Claude, to accelerate analysis, modeling, and reporting
- Help define how the finance team uses AI tooling
- Prior investment banking experience is required; candidates without investment banking experience will not be considered
- 2+ years of experience, the majority of which must be in an investment banking analyst or associate program
- Bachelor’s degree in finance, accounting, economics, engineering, or a related quantitative field
- Ability to build and own a clean, well-structured three-statement model from a blank page
- Advanced Excel command of large data sets and model architecture that others can follow and audit
- Ability to identify what drives an outcome, pressure-test assumptions, and flag issues
- Clear written and verbal communication, including turning analysis into a concise recommendation for a senior audience
- Ability to carry multiple work streams at pace without loss of accuracy
- Comfort operating with ambiguity and incomplete information, and initiative to move work forward without waiting to be directed
- Coverage or product experience in telecommunications or infrastructure is directly relevant
Demonstrates expertise in financial modeling, variance analysis, and cash flow forecasting, with a strong command of advanced Excel for large data sets. Proven ability to communicate complex analyses clearly to senior stakeholders and manage multiple work streams effectively.
Highest-signal resume keywords- Investment Banking Experience
- Financial Modeling
- Variance Analysis
- Advanced Excel Skills
- AI Tooling Application
- Financial Modeling
- Variance Analysis
- Cash Flow Forecasting
- Three-Statement Model Construction
- Data Analysis
- Scenario Planning
- M&A Support
- Debt Refinancing Analysis
- Budgeting
- Return Analysis
- Clear Communication
- Initiative
- Ability to Work Under Ambiguity
- Attention to Detail
- Time Management
- Investment Banking
- Telecommunications
- Infrastructure
- Corporate Development
- Financial Planning
- AI Tooling
- Claude
- Excel
Position Requirements
10+ Years
work experience
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