Senior Financial Analyst Job at Real Chemistry, New York, NY

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  • Real Chemistry
  • New York, NY

Job Description

Working at Real Chemistry and in the healthcare industry isn’t just a job for us. We got into this field for different reasons, but we all stay for the same reason – to uncover insights, make meaningful connections, infuse creativity, and improve the patient experience by transforming healthcare through AI and ideas. Real Chemistry creates the world around modern therapies with over 2,000 talented professionals, and for the last 20+ years has carved out its space at the intersection of healthcare, marketing and communications, data & AI, and the people at the heart of it all. We work with the top 30 pharma and biotech companies and are built for uncommon collaboration—believing we are best together, bringing together experts from diverse disciplines to collaborate without barriers under a single, unified mission: to transform healthcare from what it is to what it should be. This model allows us to work in a way that better reflects how people experience healthcare—all with the intent to transform healthcare. We can’t do it alone – you in? Real Chemistry is seeking a Senior Financial Analyst to join our expanding team. You will assist the Director of M&A with tasks such as cash forecasting, financial modeling, and market research, along with other strategic analyses. We seek a proactive, driven, resourceful candidate with excellent prioritization skills and a passion for data analysis. You will be a key member of a highly visible cross-functional team, contributing to strategic decision-making, supporting relationships with senior leaders, and partnering with FP&A and Controllership teams. This is a great opportunity to join a dynamic, fast-growing global agency with over 2,000 employees! This role is hybrid, based in any of our US offices—including New York City, Boston, Chicago, Carmel, or San Francisco—or remote within the US, depending on team needs. What you’ll do: Prepare and maintain weekly cash flow forecasts, including variance analysis for collections, vendor payments, payroll, and other key categories. Collaborate with Treasury to maintain debt, interest, and tax projections. Manage and improve existing cash flow, P&L, and balance sheet projection models, redesigning as needed. Assist in updating long-range financial models and equity valuations, reviewing monthly variances. Support data room management by organizing company data for transactions and initiatives. Help maintain acquisition models and integration plans. Work with Business Intelligence to analyze client updates, industry news, and competitor earnings. Stay informed on industry trends, competitor activities, and market conditions. Prepare monthly financial reports for senior leadership and the Board of Directors. Conduct ad-hoc analyses on growth, margins, working capital, and productivity, providing visibility to CFO and leadership. This position is a perfect fit if: You align with our values: Best Together, Impact-Obsessed, Excellence Expected, Evolve Always, and Accountability. You are adaptable, resilient, and flexible as we grow and evolve. You are proactive, driven, resourceful, with strong prioritization and data skills. You are highly organized, able to work independently under tight deadlines. What you should have: Minimum 3 years experience in corporate finance, consulting, or banking. Bachelor’s Degree in Accounting, Finance, or related field preferred. Strong problem-solving skills with financial modeling and analysis expertise, including advanced Excel, PowerPoint, and G-Suite skills. Proactive, organized self-starter capable of independent work and meeting deadlines. Excellent communication and collaboration skills for building relationships and presenting ideas. Curiosity and motivation to pursue projects independently. Experience with Business Services, Advertising, Media, Technology, or PR firms is a plus. We are proud to be Great Place to Work certified. Learn what our team shares about our culture here . Working with Real HART: Since the pandemic, we’ve adapted to flexible work. Our offices in NYC, Chicago, Boston, San Francisco, Carmel (IN), and regions in the UK serve as hubs for in-person collaboration. Employees within an hour of an office are expected to attend two days per week, either onsite or with clients. Beyond offices, teams work remotely with quarterly gatherings. Our hybrid approach fosters connection and flexibility. We offer comprehensive benefits including medical, dental, vision, a generous 401k match, flexible PTO, a five-week sabbatical after 5 years, student loan support, mental wellness programs, and access to LinkedIn Learning. Additional family support benefits are also available. Details at We are an Equal Opportunity employer committed to diversity and inclusion. We encourage qualified applicants to apply regardless of race, color, religion, sex, sexual orientation, gender identity, age, disability, or other protected characteristics. Accommodations are available during the interview process upon request. *Notice: Beware of scams using our name. Do not share personal info with unverified sources. Learn more here . Our corporate teams support operations across People & Ops, Finance, Facilities, IT, Legal, and Business Development. We foster a connected, engaging remote culture through programs, town halls, and virtual events. Join us and be part of a collaborative, innovative environment. #J-18808-Ljbffr Real Chemistry

Job Tags

Flexible hours, 2 days per week,

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