Brasfield & Gorrie, LLC

  • Financial Analyst, Corporate Strategy & Investments

    Location US-AL-Birmingham
    Job ID
  • Responsibilities

    Brasfield & Gorrie is seeking a Financial Analyst to join its Corporate Strategy and Investments team in its Birmingham, Alabama office.  The Financial Analyst will support the team in (i) developing and executing the Company’s corporate strategy, (ii) identifying, evaluating and monitoring organic growth initiatives, investment opportunities and acquisitions and (iii) serving as a resource to conduct a variety of financial analyses.  Activities will vary widely from day-to-day and the environment will be fast-paced.  The ideal candidate will be detail oriented with a high financial acumen and will operate with a heart of service, a positive attitude and a strong work ethic. Responsibilities include the following:    


    • Perform financial analysis, financial modeling and valuations
    • Involved in the preparation of business cases supporting capital deployment efforts, including organic growth investments, acquisitions, corporate venturing, real estate and alternative investments
    • Research, profile, and evaluate industries, subsectors, geographic markets, peers, acquisition targets and investment opportunities
    • Gather, consolidate, and analyze operating and financial results to monitor investment / business performance and analyze trends and drivers
    • Serve as an analytical resource to colleagues, project teams and the Company’s Executive Team, aiding in decision support on a variety of ad-hoc requests
    • Track and manage a pipeline of potential investment opportunities
    • Review and verify client credit capacity and project financing plans
    • Assist with corporate budgeting and forecasting
    • Maintain a collaborative relationship with colleagues and project teams
    • Demonstrate superior customer service to both internal and external groups

    Education - Skills - Knowledge - Qualifications & Experience

    • Bachelor’s degree in Finance, Accounting, Business or related field required; MBA, CFA or CPA preferred
    • At least 1-2 years of relevant experience working in corporate finance, audit and advisory, investment banking, private equity, equity research, or other financial function preferred
    • Excellent problem-solving, analytical and financial modeling skills
    • Highly organized with strong attention to detail
    • Ability to make quick, sound decisions
    • Effective verbal and written communication skills
    • Strategic thinker
    • Ability to influence and persuade others
    • Results–oriented and champion of change
    • Technology skills: proficiency in Excel, Word, and PowerPoint necessary; experience with enterprise resource planning and data analytical systems a plus
    • Understanding of basic accounting principles and familiarity with financial statements and various valuation methodologies
    • Ability to format and present data and key analytical findings in a clear, concise and accurate form
    • Strong interpersonal skills (extensive interaction with Senior Management, Project Managers, Estimators, Accountants, and external professional service providers)
    • Team oriented, self-motivated, and proactive



    The above description covers the principal duties and responsibilities of the job.  The description shall not, however, be construed as a complete listing of all miscellaneous, incidental, or similar duties which may be required from day-to-day.  Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions. 



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