Senior Financial Analyst Position Available In Palm Beach, Florida
Tallo's Job Summary: The Senior Financial Analyst position at Ship Sticks involves developing financial models, cash flow projections, and scenario analyses to support decision-making processes. Responsibilities include collaborating with business leaders, preparing reports for senior management, and leading special projects. Qualifications include 4-7 years of experience in financial analysis, advanced Excel skills, and strong communication abilities.
Job Description
Company Description Ship Sticks is a premier golf club shipping service that aims to simplify the travel experience for golfers worldwide. The company partners with major delivery carriers like UPS, FedEx, and DHL to provide cost-effective and reliable shipping solutions for golf clubs. Ship Sticks operates seven days a week from its headquarters in Palm Beach Gardens, Florida, and has direct partnerships with thousands of top golf courses, country clubs, and resorts. Role Description We’re seeking a Senior Financial Analyst to join our growing team and take ownership of developing the financial infrastructure that drives smarter decisions across the business. This is a high-impact role focused on building robust financial models, producing actionable insights, and shaping the future of our financial planning process.
Responsibilities:
Build, maintain, and improve dynamic financial models supporting the organization’s budgeting, forecasting, and strategic planning Develop detailed cash flow projections and scenario analyses to support operational and investment decisions Partner with business leaders to translate strategic plans into financial forecasts and identify risks/opportunities Prepare and present monthly and quarterly reporting packages to senior leadership, including variance analysis and key performance metrics Lead modeling efforts for special projects, including new product launches, pricing strategies, capital allocation, and M&A evaluations Drive automation and scalability of financial processes and reporting tools Support annual budgeting and long-range planning cycles Qualifications 4-7 years of experience in FP&A, investment banking, corporate finance, or a related analytical role Advanced Excel / Google Sheets modeling skills – fluent in building from scratch, structuring assumptions, and stress-testing outputs Experience with cash flow modeling, three-statement models, and scenario planning Strong business acumen and the ability to distill complex data into clear, actionable insights Excellent communication and presentation skills – able to engage stakeholders at all levels Self-starter mentality with a focus on accuracy, accountability, and ownership