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Mr. Magic Car Wash

Senior Financial Analyst

Mr. Magic Car Wash

. Own the company's monthly forecasting process, including revenue, operating expenses, profitability, and other key financial drivers .

Posted 9/17/2026full-timeWexford • Pennsylvania • United StatesSenior💰 $80,000 - $85,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in financial analysis, forecasting, and financial modeling to support strategic decision-making and business performance improvement. Proficient in developing financial reporting packages and presenting actionable insights to senior leadership.

Highest-signal resume keywords
Financial ModelingForecastingVariance AnalysisFinancial ReportingAdvanced Excel Proficiency

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Financial AnalysisBudgetingProfitability AnalysisScenario AnalysisInvestment AnalysisCash Flow AnalysisData AnalysisFinancial Statement AnalysisVariance AnalysisBusiness-Case Development
Soft Skills
CommunicationCollaborationPresentation SkillsAnalytical ThinkingProblem-Solving
Tools & Technologies
Microsoft ExcelPowerPointQuickBooksERP SystemsFinancial Planning SystemsData Visualization Platforms
Certifications & Qualifications
MBACPACFA
Industry Keywords
FP&ACorporate FinancePrivate EquityMulti-Location BusinessesFinancial Dashboards

Tech Stack

Tools & technologies
ERP

About the role

Key responsibilities & impact
  • Own the company's monthly forecasting process, including revenue, operating expenses, profitability, and other key financial drivers
  • Lead long-range financial planning and support strategic financial plans aligned with company growth objectives
  • Perform budget-to-actual and forecast-to-actual variance analysis and communicate actionable insights to leadership
  • Support annual budgeting through financial modeling, analysis, business-partner collaboration, and consolidation of financial assumptions
  • Develop and maintain financial models for business planning, scenario analysis, and strategic decision-making
  • Identify financial risks, trends, and opportunities and recommend actions to improve business performance
  • Evaluate location-level financial performance, profitability, revenue, labor, chemical costs, operating expenses, margins, and membership performance
  • Evaluate pricing strategies, sales initiatives, membership programs, promotions, cost savings, margin expansion, operational efficiencies, and revenue growth
  • Conduct benchmarking and trend analysis across locations
  • Build models for new locations, acquisitions, expansion opportunities, and other growth initiatives
  • Perform investment analysis and due diligence
  • Evaluate capital expenditure proposals using ROI, payback, cash flow, and related analyses
  • Conduct sensitivity and scenario analysis and support post-investment performance analysis
  • Prepare weekly, monthly, quarterly, and annual financial reporting packages and dashboards
  • Develop presentations and recommendations for the Controller, CFO, CEO, executive leadership, private equity stakeholders, and other stakeholders
  • Present financial results, forecasts, business trends, risks, and opportunities to senior leadership
  • Maintain and enhance financial dashboards, scorecards, reporting models, analytical tools, and KPIs
  • Work with large datasets and improve financial systems, reporting processes, and data integrity
  • Partner with Operations, Marketing, Finance, and executive leadership on financial decisions and performance improvement
  • Provide minor accounting support, including financial statement analysis, reconciliations, month-end reporting, and special projects
  • Report to the Controller

Requirements

What you’ll need
  • Bachelor's degree in Finance, Accounting, Economics, Business, or a related field required
  • 5+ years of progressive experience in financial analysis, FP&A, corporate finance, or a related financial role
  • Financial modeling on-the-job experience required
  • Demonstrated experience with forecasting, financial planning, budgeting, and variance analysis
  • Advanced financial modeling skills, including scenario analysis, investment analysis, and business-case development
  • Strong understanding of financial statements, cash flow, profitability analysis, and business performance drivers
  • Advanced proficiency in Microsoft Excel and strong proficiency in PowerPoint
  • Experience developing financial reporting packages, dashboards, KPIs, and management presentations
  • Demonstrated ability to present financial results and recommendations to senior leadership
  • Experience working with large datasets and multiple financial or operational systems
  • Hybrid—ability to work in the Wexford office at least two days per week
  • Experience with QuickBooks, ERP systems, financial planning systems, and/or data visualization platforms preferred
  • Experience supporting multi-location or multi-unit businesses preferred
  • Experience with private equity-backed organizations, acquisitions, due diligence, or investment analysis preferred
  • Accounting experience preferred
  • MBA, CPA, CFA, or other relevant advanced degree or professional certification preferred

Benefits

Comp & perks
  • Medical, Dental, and Vision Insurance
  • Supplemental accident, hospital, and life insurance
  • 401(k) with company match
  • Hybrid work flexibility with a minimum of two days per week in the Wexford office
  • Direct exposure to executive leadership and strategic decision-making
  • Opportunity to influence company growth, investments, and financial strategy
  • Collaborative and supportive work environment
  • Professional development opportunities