About Us:
DailyPay is transforming the way people get paid. As a worktech company and the industry’s leading on demand pay solution, DailyPay uses an award-winning technology platform to help America’s top employers build stronger relationships with their employees. This voluntary employee benefit enables workers everywhere to feel more motivated to work harder and stay longer on the job while supporting their financial well-being outside of the workplace.
DailyPay is headquartered in New York City, with operations throughout the United States as well as in Belfast. For more information, visit DailyPay's Press Center.
As a Financial Analyst on the Strategic Finance team, you will play a crucial role in supporting the financial health of our critical Core Services functions and a focus on Balance Sheet and Cash Flow dynamics. You will drive financial planning, analysis, and reporting activities, supporting the overall strategic goals of the company.
Support the preparation and in-depth analysis of the Balance Sheet and manage forecasts for Cash & Liquidity, providing key insights for capital management
Analyze and forecast financial drivers for key Engineering initiatives, including Cap Soft. (Capitalized Software), Capacity Planning, and the financial Prioritization of tech resources
Provide strategic Decision Support for major technology investments and resource allocation for Engineering, Legal, and Finance leadership
Support financial budgeting and forecasting for the core services/ support business functions
Model and analyze Interest income/expense, supporting its planning, forecasting, and reporting processes
Perform variance analysis, identify trends, and provide insights to support decision-making processes across Core Services
Bachelor’s degree in Finance, Accounting, or a related quantitative field or equivalent experience
1–3 years of experience in financial planning and analysis (FP&A), corporate finance, or a related field
Proven experience in preparing, analyzing, and forecasting the Balance Sheet and Cash Flow Statement, with a strong focus on liquidity and capital management
Strong analytical skills with the ability to interpret complex financial data and translate it into actionable insights for business partners
Proficiency in financial modeling, forecasting, and budgeting
Advanced proficiency in Microsoft Excel/gsheets
Excellent communication skills with the ability to present complex financial information in a clear and concise manner
Experience with financial systems and tools (e.g., Netsuite, Anaplan, Hyperion, Tableau)
Knowledge of the fintech industry or a high-growth technology company environment
Exceptional health, vision, and dental care
Opportunity for equity ownership
Life and AD&D, short- and long-term disability
Employee Assistance Program
Employee Resource Groups
Fun company outings and events
Unlimited PTO
401K with company match