We are looking for an experienced Sr. Financial Analyst to support financial planning, reporting, and performance analysis for teams in Memphis, Tennessee. This role partners with leaders across the business to deliver meaningful insights, strengthen forecasting and budgeting activities, and improve the quality of financial decision-making. The ideal candidate combines strong analytical capability with advanced Excel skills, sound judgment, and the ability to communicate findings clearly to a range of stakeholders.<br><br>Responsibilities:<br>• Prepare recurring financial reports on a weekly, monthly, year-to-date, and annual basis, highlighting performance against budget, forecast, and prior-year results.<br>• Lead forecasting cycles and contribute to the annual planning process for multiple operational and functional areas.<br>• Deliver financial analysis and custom reporting to support management decisions, resolve business questions, and address emerging issues.<br>• Maintain the accuracy and reliability of financial reporting systems through testing, validation, and coordination with external partners when needed.<br>• Evaluate market and competitive developments, then summarize key implications and recommendations for senior leadership.<br>• Develop budget comparisons and analytical reviews that help identify opportunities to refine planning methods and improve financial processes.<br>• Perform forecast modeling and account reconciliations to ensure internal financial data is complete, aligned, and dependable.<br>• Track and report operational metrics such as headcount, fleet activity, and other performance indicators that influence business results.<br>• Provide guidance and informal mentorship to other Financial Analysts and support additional finance-related assignments as needed.
<p>We are looking for a Financial Analyst to join a service organization in Memphis, Tennessee. This position partners closely with the Controller to support daily accounting activities while delivering financial and operational insights that guide business decisions. The role also contributes to acquisition-related analysis as needed, making it a strong fit for someone who enjoys both accounting execution and analytical work.</p><p><br></p><p>Responsibilities:</p><p>• Support core accounting operations by assisting with routine close activities, account reviews, and the maintenance of accurate financial records.</p><p>• Prepare and interpret financial analyses that help leadership evaluate business performance, profitability, and emerging trends.</p><p>• Develop and refine financial models to support forecasting, scenario planning, and decision-making across the organization.</p><p>• Perform variance analysis to identify differences between actual results and expectations, then communicate key drivers to management.</p><p>• Examine operational and financial data to uncover patterns, risks, and opportunities for improved performance.</p><p>• Provide ad hoc reporting and analytical support for leadership, responding to changing business needs with timely insights.</p><p>• Collaborate with the Controller on projects that connect accounting results to broader operational performance.</p><p>• Assist with merger and acquisition activities by contributing research, analysis, and financial support as opportunities arise.</p>
We are looking for an experienced Senior Internal Auditor to join a collaborative team in Memphis, Tennessee. This role is responsible for leading financial, operational, and compliance reviews while helping the organization strengthen processes, reduce risk, and improve control effectiveness. The position also works closely with leadership to communicate audit results, provide practical recommendations, and support key governance reporting activities.<br><br>Responsibilities:<br>• Direct and oversee audit and advisory engagements from initial scoping through final reporting, ensuring projects are completed thoroughly and on schedule.<br>• Guide and support auditors by providing day-to-day leadership, performance feedback, and development opportunities that strengthen team capability.<br>• Assess business operations to identify risks, evaluate internal controls, and determine whether processes are functioning effectively and in alignment with expectations.<br>• Perform and supervise audit testing, analyze results, and translate findings into clear, practical recommendations that support operational improvement.<br>• Partner with business leaders to uncover opportunities for greater efficiency, stronger compliance, and more effective control environments.<br>• Build productive working relationships with internal stakeholders, external auditors, and cross-functional partners to support audit objectives and broaden business insight.<br>• Apply data analysis techniques to detect patterns, highlight exceptions, and measure the impact of process weaknesses or control gaps.<br>• Prepare presentations, reports, and other materials for executive leadership and contribute to quarterly Audit Committee and enterprise risk reporting deliverables.<br>• Participate in special reviews, investigations, and other priority projects as assigned.
We are looking for a Treasury Analyst to support key treasury initiatives for a long-term contract opportunity in Memphis, Tennessee. This role is ideal for someone who is detail oriented and has hands-on experience in corporate treasury operations, cash management, and financial process improvement. The selected candidate will contribute to treasury system implementation efforts while helping strengthen reporting, documentation, and day-to-day operational effectiveness.<br><br>Responsibilities:<br>• Support the rollout of GTreasury by coordinating implementation activities and helping drive project progress from planning through execution.<br>• Perform system testing to validate functionality, identify issues, and confirm treasury workflows operate as expected.<br>• Develop standardized templates that improve consistency across treasury reporting, cash management, and related operational tasks.<br>• Create clear standard operating procedures to document treasury processes and promote efficient day-to-day execution.<br>• Partner with stakeholders to gather business requirements and translate operational needs into practical system and process solutions.<br>• Monitor treasury activities, including cash positioning and cash flow forecasting, to support informed financial decision-making.<br>• Assist with ongoing treasury operations by maintaining accurate records, preparing reports, and supporting process controls.<br>• Help resolve implementation-related questions and recommend improvements that enhance usability, accuracy, and efficiency.