About Wyyerd & the Role
At Wyyerd Fiber, we’re building fast, reliable fiber networks—and a team that thrives on collaboration, innovation, and impact. Although this position reports directly to the Director of FP&A, it will be essential to collaborate cross-functionally with leaders across the organization, including C-level executives, and provide actionable insights based on data-driven analyses, which will drive informed decision-making and support Wyyerd’s growth trajectory. This role offers the opportunity to create value-add reporting capabilities across Wyyerd, influence strategic decisions in both finance and operations spaces, and support the growth of a high-performing finance and accounting organization.
Responsibilities
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Refine, develop, and maintain Wyyerd’s operating financial model, as well as additional reporting on financial and business metrics
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Collaborate cross-functionally on annual budgeting and quarterly re-forecasting processes, contributing strategic perspective to target-setting and resource allocation
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Prepare materials and analyses for the management team, Board, and investor presentations, including debt covenant compliance reporting
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Assist with monthly accounting close by performing variance analyses and reconciliations to budget
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Support ad-hoc strategic projects and analyses as business needs arise, including but not limited to M&A opportunities, new market analyses, etc
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Work with internal teams to understand and explain business trends and variances in the business
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Provide information and analysis to the business to support and drive strategic decisions
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Present and communicate results and recommendations to leadership teams across the organization
Experience/Qualifications
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Bachelor's degree in Finance, Accounting, Economics, Business, or a related field
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3+ years of professional experience in quantitative analysis or an advanced degree in a relevant field (e.g., investment banking, private equity and business operations, management consulting, strategic finance, or a related analytical role)
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Advanced Excel experience (lookups, logic functions, etc.), and Powerpoint experience (graphs, diagrams, etc.) required; Google Workspace experience (Sheets, Slides, etc) preferred
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Strong analytical, financial modeling, and problem-solving skills; experience synthesizing data into information, and presenting concise analyses
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Excellent verbal and written communications skills
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Ability to manage multiple projects simultaneously and shift prioritization as business needs evolve
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Comfort working independently in a fast-paced environment
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Ability to validate results of analyses by reconciling with data from other sources
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Attention to detail, a sense of urgency, and relentless follow-through
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Collaborative approach with the ability to work effectively across teams
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Financial, managerial and/or tax accounting understanding (if not direct experience)