About The Premiere Group
At The Premiere Group, we operate as a family office with an entrepreneurial spirit—supporting a diverse portfolio of startups, high-growth distribution businesses, and investment ventures. Our team is hands-on, agile, and impact-driven, playing a central role in building and scaling the companies we support.
Position Summary
We are seeking a Financial Data Analyst to join our growing team and support the financial planning and analysis (FP&A) efforts across our portfolio. This role will work closely with leaders in Accounting, Finance, Operations, and Analytics to deliver in-depth financial insights and modeling across a range of dynamic businesses—including early-stage startups and mature operating companies. The ideal candidate will bring strong analytical capabilities, comfort working in ambiguity, and an eagerness to contribute to fast-moving, high-impact projects.
Key Responsibilities
- Own and evolve real-time financial dashboarding across The Premiere Group’s ecosystem of companies.
- Build and maintain sophisticated financial models to support strategic decision-making for projects including acquisitions, capital structuring, and scenario planning.
- Assist in the development, refinement, and monitoring of key performance indicators (KPIs), financial targets, and operating benchmarks.
- Collaborate with cross-functional teams to lead recurring budgeting and forecasting cycles across portfolio companies.
- Collaborate with Managers and Operators to align operations with financial functions.
- Partner with early-stage teams to develop projections, pricing models, unit economics, and data tracking tools.
- Support investment analysis and valuation modeling for current and prospective businesses.
- Contribute to ad hoc analytical projects, including cash flow forecasting, margin analysis, and strategic growth planning.
What We're Looking For
- Bachelor’s degree in Finance, Accounting, Economics, Statistics or related field preferred.
- 1–3 years of experience in a financial analysis, FP&A, investment, or consultant role.
- Experience with Commercial or Investment Bank Underwriting is preferred, but not required.
- Advanced Excel modeling skills (advanced formulas, pivot tables, sensitivity analysis).
- Comfortable interpreting financial statements and extracting strategic insights from raw data.
- Experience with reading and writing advanced SQL.
- Experience with Snowflake, Looker, and other data visualization and financial dashboarding tools is a plus.
- Strong communication skills, both written and verbal.
- Entrepreneurial & Personal Accountability mindset with a proactive, solution-oriented approach.
Ability to manage multiple priorities in a fast-paced, evolving environment.