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Financial Analyst

  • Category: Finance / Accounting
  • Location: Reston, Virginia
  • Work Arrangement: Hybrid
  • Type: Full-time/Flex

Large, national supply distributor with corporate offices in Reston , Virginia is looking for a Financial Analyst in their Capital Markets group to join their team , will consider re-entry candidates that meet the below qualifications 


Hours/Schedule:   Full-time, flexible


Job Type:  Direct


Location RequirementsHybrid    

Rate:  90k-110k,TBD based on experience, plus annual bonus, Excellent benefits

Job Description: 
The Financial Analyst – Capital Markets is a highly visible role that will support the management of the Company’s corporate banking and investment community relationships. The position requires a self-starter who will create, maintain, and support the production of deliverables and activities as they relate to shareholders and debt holders.


  • Collect earnings models from the broker community and regularly compile and maintain consensus estimates
  • Review analyst research reports and summarize the external view for internal distribution to senior management
  • Manage the contact tracking of investor meetings and publish quarterly activity report
  • Coordinate updates to the investor relations web site including managing the web-hosting relationship
  • Assist with the quarterly earnings release preparation including the earnings press release, presentation, and script
  • Support the creation of internal Board reports summarizing external views of the company’s performance, key investor meetings & issues, changes in shareholding and targeting activity
  • Aid in capital market transactions, reconciliation, reporting and monitoring needs
  • Ensure compliance with debt agreements and covenants
  • Aid in Company's business insurance program including reviewing policies/programs and supporting renewal efforts
  • Partner with both financial and business functions to provide proactive recommendations in area of liquidity, capital markets, and banking relationships; prepare any material needed to model, execute, and report on related transactions
  • Serve as a backup to Treasury operations including initiating wire transfers, reviewing positive pay, and compiling the necessary audit trail documentation
  • Make a positive contribution through identifying and implementing process efficiencies and improvements
  • Assist with ad hoc projects
  • Demonstrate ability to explore and quickly grasp new technology



  • 4-7 years of finance experience (treasury, banking, brokerage, or investor relations experience, preferred)
  • Fundamental understanding of equity and debt markets
  • Effectively communicate complex topics and analytics with all levels of the organization
  • Ability to work in a changing environment
  • Collaborative business partner, adept in building cross-functional relationships to drive business results
  • Solid understanding of, and experience with, quantitative and qualitative financial analysis
  • Demonstrated successful experience working in a demanding, high performance work environment and team-oriented cross functional culture
  • Strong reading and writing skills as well as high attention to detail
  • Proficiency with MS Office products is required including an advanced understanding of Excel
  • Demonstrate the ability to explore and quickly grasp new technology
  • Comprehensive knowledge of business acumen, financial concepts, and procedures



FlexProfessionals respects and seeks to empower each individual and support the diverse cultures, perspectives, skills and experiences of its candidate network. FlexProfessionals does not discriminate on the basis of race, religion, color, sex, gender identity, sexual orientation, age, non-disqualifying physical or mental disability, national origin, veteran status or any other basis covered by appropriate law. The candidates whose resumes are shared with our business clients are selected on the basis of qualifications, merit, and business need.  

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