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Full time
Finance
CR

FP&A (Bilingual in Korean)

Cesna RecruitmentJersey City, New Jersey🇺🇸United StatesPosted 27 May 2026

Why This Role Stands Out

This FP&A role offers a fantastic opportunity to drive strategic financial decisions through in-depth analysis and robust financial modeling, with a strong emphasis on growth and impact. You'll thrive here if you possess strong analytical skills, excel in cross-functional collaboration, and are eager to leverage your bilingual Korean abilities to contribute to a dynamic team. Apply now to elevate your career in finance!

Quick Overview

Seniority
Mid Senior
Employment type
Full Time
Work mode
On Site
Location
Jersey City, New Jersey, United States
Posted
3 months ago
BudgetingFinancial ModelingFinancial ReportingForecastingKPI ManagementVariance Analysis

Job Description

Duties &Responsibilities

1. Sales & Customer Data Analysis

- Analyze sales, promotions, product performance, and customer data to identify trends, consumer behavior, market shifts, and forecast demand, including product segmentation.

2. Variance Analysis

- Compare actual vs. expected performance to identify deviations and uncover opportunities for cost optimization and revenue growth.

3. Financial Reporting & KPI Management

- Prepare monthly, quarterly, and annual financial reports; track KPIs and ensure alignment between financial performance and company goals.

4. Cross-Functional Collaboration & Budget Analysis

- Work with business development, operations, accounting, and sales teams to analyze financial data and provide insights for departmental budgeting.

5. Risk Assessment & Compliance

- Conduct financial risk assessments and ensure adherence to internal policies and industry regulations.

6. Financial Modeling & Forecasting

- Develop and maintain financial models to support budgeting, quarterly/annual forecasting, and long-term strategic planning.

7. Reporting & Executive Communication

- Prepare presentations, dashboards, and board materials to communicate financial performance and strategic insights to management, investors, and stakeholders.

Bachelor’s degree or higher in Finance, Accounting, Business Administration, Economics, or a closely related field

1~3 years of related experience preferred.

Knowledge of U.S. regulations including FDA and cGMP

Relevant professional certifications in corporate financial planning and analysis (e.g., AFP certification pathway)

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