Job Responsibilities:
- Analyze financial data related to revenue cycle processes.
- Develop and maintain financial models to track key performance indicators (KPIs) such as revenue, aging, and cash flow.
- Extract, manipulate, and analyze data from various sources to derive insights.
- Conduct trend analysis to identify opportunities for process improvement and revenue optimization.
- Prepare and present reports to stakeholders, providing actionable insights.
- Collaborate with cross-functional teams to implement data-driven solutions.
- Perform ad-hoc analysis and provide support for strategic initiatives.
- Stay updated on industry trends and best practices in financial analysis.
- Ensure data integrity and compliance with relevant regulations.
- Support training for end-users on financial analysis tools and techniques.
Requirements:
- Proficiency in financial analysis with a strong understanding of revenue cycle processes.
- Experience in developing and maintaining financial models.
- Advanced skills in data manipulation and analysis, including proficiency in Excel, SQL, and other relevant tools.
- Ability to conduct trend analysis and derive actionable insights.
- Strong communication skills for reporting to stakeholders.
- Expertise in cross-functional collaboration to drive organizational goals.
- Experience in providing ad-hoc analysis and strategic support.
- A continuous learning mindset to stay updated on industry trends.
- Detail-oriented with a focus on data integrity and compliance.
This role offers the opportunity to utilize advanced financial analysis skills to drive process improvements and optimize revenue performance. If you possess the required qualifications and are passionate about leveraging data to make informed decisions, we encourage you to apply.