Role Description
We are seeking a Financial Data Analyst to join our Finance team in a role that spans financial planning & analysis and capital markets. You will own core pieces of our forecasting and planning cycles, build portfolio- and merchant-level analytics that drive strategic decisions, and support the execution of our funding strategy and lender relationships. Reporting to the Director of FP&A and partnering day-to-day with the VP of FP&A and VP of Capital Markets, this role offers unique breadth for an analyst seat:
-
Forecasting & statistical modeling
-
Unit economics
-
Asset backed financing
Qualifications
-
Bachelorโs degree in Finance, Economics, Business, Engineering, or a quantitative field
-
2 - 5 years of experience in FP&A, strategic finance, data/business analytics, investment banking, capital markets, or financial services analytics
-
Strong financial modeling and forecasting skills with advanced Excel proficiency
-
Proficiency in SQL and experience working with large, complex datasets
-
Comfortable supporting multiple senior stakeholders and prioritizing across competing workstreams
-
Analytical thinker with meticulous attention to detail and a focus on data integrity
-
Excellent written and verbal communication skills, with the ability to distill complex analysis into concise takeaways
-
Comfortable working in a fast-paced, dynamic environment with ambiguous problems and evolving priorities
Requirements
-
Build merchant- and product-level unit economics and net cash flow analysis to inform pricing, growth, and capital allocation decisions
-
Leverage SQL and large operational datasets to build data models, dashboards (e.g., Tableau, Snowsight), and self-serve reporting
-
Support monthly financial review materials and ad-hoc analyses of executive questions
-
Monitor competitor and market performance and synthesize implications for the business
-
Support quarterly Outlook forecasts and the annual budget and plan, spanning originations, portfolio performance, and profitability
-
Build and maintain components of the corporate forecasting model, including portfolio performance analysis across payment behavior, delinquency roll rates, and charge-offs
-
Develop scenario and sensitivity analyses to support strategic decisions and stress-test liquidity positions
-
Analyze variances versus budget and outlook, translating drivers into clear narratives for senior leadership
-
Support the VP of Capital Markets in managing Koalafiโs asset-backed debt facilities, including covenant compliance monitoring, borrowing base reporting, and analyses supporting draws and repayments
-
Help prepare investor and lender communications, portfolio analyses, and materials for investor meetings
-
Develop credit performance forecasts (e.g., delinquency, prepayment behavior) to inform funding strategy and capital planning
-
Research capital markets trends, funding innovations, and peer strategies
-
Partner with Risk, Accounting, Sales, and Operations teams to align forecasts, metrics, and reporting logic
-
Improve internal processes, automate workflows, and leverage modern tooling (including AI) to increase the speed and accuracy of analysis
Preferred Qualifications
-
Experience in consumer finance, particularly subprime or non-prime lending
-
Foundational knowledge of asset-backed lending, securitization, and debt capital markets
-
Python experience for financial analysis and forecasting
-
Demonstrated experience using BI tools (e.g., Tableau) to build dashboards and track KPIs
-
Experience applying AI tools to accelerate analysis and reporting
Benefits
-
Comprehensive medical, dental, and vision coverage
-
20 PTO days + 11 paid holidays
-
401(k) retirement with company matching
-
Student Loan & Tuition Reimbursement
-
Commuter assistance
-
Parental leave (maternal + paternal)
-
Inclusion and Associate Engagement Programs