OVERVIEW
Serve as a key financial advisor to senior leadership by delivering high-quality insights, guiding investment decisions, and ensuring disciplined financial management across a diverse portfolio of capital and strategic programs. Drive improvements in financial performance, reporting accuracy, and analytical rigor to support long-term organizational growth.
RESPONSIBILITIES (other duties may be assigned)
1. Lead the development, review, and optimization of budgets and long-range forecasts, ensuring data integrity, financial alignment, and strategic clarity for high-impact initiatives.
2. Design, enhance, and oversee complex financial models, dashboards, and reporting frameworks to support project evaluation, investment tracking, scenario planning, and portfolio performance management.
3. Conduct advanced variance and trend analyses, interpreting operational and financial drivers; proactively identify risks, opportunities, and cost-optimization levers and advise leadership on recommended actions.
4. Partner closely with senior finance, operations, real estate, and project leaders to ensure financial performance aligns with strategic objectives, compliance standards, and investment governance processes.
5. Serve as a subject-matter expert in business case development and ROI evaluation, guiding teams on financial assumptions, risk analyses, and capital justification requirements.
6. Strengthen and reinforce financial controls, policies, and investment discipline, providing oversight to ensure consistency, accountability, and adherence across departments and projects.
7. Oversee internal financial reviews and audit readiness, ensuring accuracy, transparency, and documentation that aligns with GAAP and organizational standards.
8. Communicate financial insights and strategic implications with executive presence, producing clear, concise reports and leading presentations for senior and cross-functional stakeholders.
9. Champion continuous improvement, including automation, data governance enhancements, and process efficiencies in financial analysis, reporting, and forecasting.
10. Stay current on industry trends, financial best practices, and capital planning methodologies, applying insights to strengthen the organization’s financial strategy and modeling capabilities.
QUALIFICATIONS
(Equivalent combinations of education, licenses, certifications and/or experience may be considered)
Education
• Bachelor’s Degree in Finance, Accounting, Economics, Business, or related field required
• Master’s Degree (MBA or MS Finance) preferred
Experience
• Minimum 5 years progressively responsible and directly related work experience required
Licenses/Certifications
• None required
Tools & Equipment
• General Office Equipment
ACCOMMODATIONS
Sheetz is committed to the full inclusion of all qualified individuals. Sheetz is committed to considering all applicants regardless of disability who can perform all essential job duties with or without accommodations.