Financial Analyst

  • Indefinite
  • Full time
  • Remote
  • FP&A

About Eightx

We provide Fractional CFO services for fast-growing eCommerce Brands and Agencies from Canada, the United States and the United Kingdom with one goal in mind:

To help eCommerce business owners scale their businesses with more cash and less stress.

This requires a broad range of skills including financial modeling, risk management, understanding of US/Canadian GAAP, financing, audit, investor relations and more.

We are small but growing fast which means you will get the chance to specialize and grow into future roles.

Lastly, as you might expect of a finance company, we work really hard when we need to, but we don’t work hard just for the sake of it. We don’t miss our kids’ concerts, we work out during the day and we usually sign off early on Fridays.


About the position

We are among the best in the world at what we do, and we hire elite staff to provide incredible service.

You’re an Elite and Enthusiastic/detail-oriented individual, to join our team as Financial Analyst. While 1-2 years of experience is advantageous, it's not mandatory – we value a strong work ethic and a willingness to learn. The work you do helps people truly unplug on vacation, have more time with their kids and get back to enjoying running their businesses.

You will be assisting a portfolio of clients around the world with financial modeling, budgeting, cash flow forecasting, scenario planning, variance analysis and more.

You will help with market research and trend analysis to give our clients ideas on how to improve their operations, financial structure and operating results.

You will be working in a wide range of tech/software platforms including Shopify, Quickbooks Online, Xero, Google Sheets, Google Docs, Glew.io, Amazon Seller/Vendor, Rippling, Gusto and more.


What you will do

Time Zone

  • You will need to work 10am - 5pm Pacific Standard Time Zone (PST), with some flexibility for client needs.

Assist Senior Financial Analysts and CFO in:

Financial Modelling (we build forecasts that are realistic, robust and useful for decision-making)

  • Building 3-statement, dynamic financial models (income statement, balance sheet, cash flows)
  • Every month, as we meet with clients, you will adjust the models and communicate potential margin/cash flow issues.
  • You will field questions and requests from clients, working them into the models.
  • You will field questions and requests from potential Investors and adjust models as appropriate.
  • You will conduct market research so that our forecasts reflect potential reality
  • You will create scenarios for all models so that assumptions can be regularly tested.


Financial Reporting (we look backward so we can look forward to manage cash flow and mitigate risk)

  • Monthly reporting including variance analysis
  • Creating/updating KPI dashboards
  • Creating/maintaining/updating three statement financial forecasts (P&L, Cash Flows, Balance Sheet)
  • Cash flow monitoring and forecasting
  • Cohort Analysis


What you must have

  • You have a solid understanding of GAAP
  • You’re self-motivated
  • You can use independent judgment, problem-solve, be creative and answer questions
  • You’re comfortable adapting to change in a fast-paced and dynamic environment
  • You have outstanding interpersonal, verbal, and written communication skills
  • You handle ambiguity well and you take mistakes in stride (they are opportunities to learn)
  • Expertise in Financial Modeling and Forecasting: Demonstrated expertise in building and maintaining financial models, with a strong track record in financial reporting and cash flow forecasting.
  • Strong Analytical and Problem-Solving Skills: Ability to conduct market research and provide strategic insights, using independent judgment to solve problems creatively.
  • Proficiency in Financial Reporting and Variance Analysis: Solid understanding of GAAP and experience in creating and updating KPI dashboards.
  • Effective Communication Skills: Outstanding interpersonal, verbal, and written communication skills, facilitating effective interaction with clients and internal teams.
  • Self-Motivated and Proactive: Demonstrated commitment to continuous learning and self-improvement, quickly acquiring new skills and knowledge to enhance job performance.
  • Adaptability: Comfortable adapting to change in a fast-paced and dynamic environment, handling ambiguity well, and taking mistakes in stride as opportunities to learn.
  • Initiative: Regularly takes the initiative to suggest improvements, streamline processes, and contribute innovative ideas to benefit the team and organization.
  • Technical Proficiency: Proficiency in using a wide range of tech platforms, including Microsoft Excel, Shopify, QuickBooks Online, Xero, Google Sheets, and Google Docs.
  • Professional Designation: CPA, CFA, or similar professional designation, with significant experience in financial analysis.


Your experience and education

Fresh graduates are encouraged to apply.

1-2 years of experience in financial analysis is preferred but not mandatory.

Strong attention to detail and organizational skills.

Proficiency in data entry and basic accounting software.

Excellent communication skills.

Advanced MS Excel skills.


What you will get in return

● Full-time, competitive salary (commensurate with experience and education)

● Flexible working hours

● Remote work

● Generous vacation and time-off policies

● Benefits and bonuses


🎥 Short Video Submission – Early Screening
As part of our initial screening process, candidates will be asked to submit a short video. This helps us assess communication skills, genuine interest in the role, and basic video/audio setup.

Video Guidelines

  • Length: 2–3 minutes
  • Format: Phone or webcam

Please address the following in your video:

  • Why are you interested in this position?
  • What do you know about Eightx?
  • What is your ideal work environment?
  • What are your key strengths?
  • Where do you see yourself in five years?


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