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Job Description
Build your Career with an Industry Leader
As the global leader of premium labels, MCC helps brands stand out in competitive markets and inspire positive consumer experiences. Backed by over a century of printing experience, MCC is focused on the future by developing consumer-driven innovations and sustainable packaging solutions. Working for our team, you can truly make a difference.
The FP&A Sr. Analyst will play a vital role in building and enhancing the department’s cash flow modeling and forecasting. The FP&A Sr. Analyst will provide timely and accurate analysis and support for the FP&A team and broader organization.
This is a hybrid role, reporting onsite 3 days per week to MCC Headquarters in Atlanta GA.
Why work at MCC:
Competitive Compensation
Generous benefits package including medical, dental, vision, disability, life insurance and 401(k)
Paid Holidays: New Years, Memorial Day, Fourth of July, Labor Day, Thanksgiving, Day after Thanksgiving, Christmas Eve, Christmas Day, plus two floating Holidays
Finance Experience, Skills, and Responsibilities:
Build out and lead 13 week direct cash flow forecasting by working with multiple finance & operations functions
Develop and maintain integrated financial models linking P&L, balance sheet, and cash flow via the indirect method
Partner with the organization to build out and drive business unit level cash flow forecasting and metrics
Analyze trends, variances and current performance metrics by partnering with the business to understand key drivers
Support reporting, tracking, and analysis of company initiatives proactively engaging with key stakeholders
Assist in evaluation of payback from projects that require capital and prioritization of project pipeline
Contribute to building an FP&A function that pro-actively identifies business trends and risks to budget; i.e., use historical information to inform decisions about the future
Build, document, and deploy scalable processes and systems that ensure repeatable, high-quality execution
Administrative Experience, Skills, and Responsibilities:
Prior experience with levered three statement financial models a must
Understanding of the difference between direct and indirect cash flows
High level of proficiency with Microsoft Excel a must
Prepare presentations and executive reports for Senior Management and Board of Directors
Requires good communication skills, both verbal and written. Able to communicate effectively with diverse groups of people when completing work assignments
Strong analytical and problem-solving skills
Strong organizational skills, attention to detail and continuous process improvement mindset
Ability to work effectively with all levels of the organization and across departments
Assertive, action orientated hands-on, "roll up your sleeves"-type approach
Energetic, strong work ethic, resilient, collaborative, ability to juggle multiple projects at once and personally committed to achieving success
Background, Education, and General Skills:
Bachelors degree in Accounting or Finance
4 to 7 years of overall experience in finance and/or accounting
Consistently deliver prescribed outcomes in a timely and accurate manner with appropriate guidance
Ability to work in a fast-paced, high-change environment required
This role is primarily office-based or home office-based, requiring extended periods of sitting, computer use, occasional walking or light lifting, and may involve brief visits to manufacturing areas; reasonable accommodations will be provided as needed.
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