Financial Planning Analyst – Charleston, SC USA

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Join a global manufacturing company in a high-impact finance role supporting treasury, liquidity management, and lender reporting. This position serves as the primary contact for domestic and international Asset-Based Lending (ABL) facilities, ensuring compliance while providing financial analysis that supports working capital, cash flow, and business performance.

Responsibilities

— Prepare borrowing base certificates and lender reports for domestic and international ABL facilities.

— Monitor loan agreement compliance, financial covenants, and reporting requirements.
— Coordinate lender field audits and collaborate with Accounting, Finance, and Operations.
— Analyze receivables, inventory, and working capital to maximize borrowing availability.
— Develop cash flow forecasts and liquidity analyses to support treasury activities.
— Support budgeting, forecasting, and financial modeling for management.
— Identify financial risks, improve reporting processes, and strengthen internal controls.

Qualifications

— Bachelor’s degree in Finance, Accounting, Economics, or a related field.

— 3+ years of experience in corporate finance, treasury, financial analysis, or FP&A.
— Experience with Asset-Based Lending (ABL), borrowing base reporting, or lender compliance preferred.
— Strong knowledge of working capital, cash forecasting, and financial reporting.
— Advanced Excel skills with financial modeling experience.
— Manufacturing, chemical, industrial, or distribution experience preferred.
— ERP experience (SAP, Oracle, JD Edwards, or similar) and strong analytical and communication skills
— Able to work in the U.S. without sponsorship
Apply / Submit Resume