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T-Mobile USA, Inc Sr. Analyst, Finance - Cash Planning, FP&A in Bellevue, Washington

At T-Mobile, we invest in YOU! Our Total Rewards Package ensures that employees get the same big love we give our customers. All team members receive a competitive base salary and compensation package - this is Total Rewards. Employees enjoy multiple wealth-building opportunities through our annual stock grant, employee stock purchase plan, 401(k), and access to free, year-round money coaches. That's how we're UNSTOPPABLE for our employees! *This is not a remote position. This role will be located in Bellevue, WA. *Office requirements: Hybrid - Minimum 3 days in office As a Senior Analyst, you will be playing a critical role in supporting the Company in achieving its cash generation goals, by providing actionable insights and guidance on business activities driving desired financial outcomes. This position will develop a strong understanding of business drivers and use that knowledge to help build and maintain analytical frameworks and models that help predict business outcomes. This position requires you to collaborate with partners throughout FP&A, Accounting, Financial Reporting, and others on a consistent basis to consolidate and assess financial progress against short- and long-term goals/benchmarks. You also articulate findings in a clear, concise, and decision-impacting manner to all levels of the organization and possess excellent comprehension skills in the face of ambiguity. This role provides broad exposure to and across T-Mobile through opportunities to work with Financial Planning and Analysis groups connected to multiple parts of the company. This position can be a springboard for talented individuals seeking new challenges in the future, applying the skills gained in this position. Responsibilities Drive accountability, transparency, and accuracy into the monthly forecast processes for capital, depreciation, and interest Drive improvements in the depreciation expense forecast by creating a stronger linkage to the capital forecast and through deeper data analytics to inform assumptions for spend by asset class and expected in service timing Build new complex financial models using business drivers that leverage data from various sources Assist in constructing executive-level presentations and present complex analytical findings in a clear, concise, and compelling manner Develop innovative technical solutions to drive process and reporting enhancements within the Cash Planning team Develop a working knowledge and of key cash flow and working capital concepts and tailor model frameworks to better predict cash flows Qualifications Bachelor's Degree in Business/Economics/Finance/Accounting required Strong financial competence and knowledge of financial statements (P&L, Balance Sheet, Cash Flow) and US GAAP required; 2-4 years of Experience in Finance, Accounting, Forecasting, or Budgeting. Self-starter with a curious approach who challenges the status quo Hands-on experience with data transformation using Alteryx and SQL, and reporting/visualization solutions such as Tableau and/or PowerBI, a strong plus. Able to work with large amounts of data and distill it into meaningful information and insights Passion for innovation and continuous improvement of technical solutions and FP&A processes. Ability to effectively troubleshoot data inaccuracies, identify root causes, and take corrective action. Analytical skill and demonstrated ability to meet deadlines while managing multiple deliverables in a dynamic environment. Demonstrated ability to improve processes through automation Excellent written and verbal communication skills. The role requires effective communication and collaboration across multiple teams. Desire and demonstrated capability to effectively work in a team-oriented environment in a fast-paced industry. Experience with SAP/BPC, Hyperion, or equivalent preferred. Advanced skills in data, Mi

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