Position Summary:
Parkway Properties / Raindrop Car Wash is seeking a highly analytical and commercially minded Financial Analyst – FP&A & Strategic Finance to support the company’s continued growth.
This role will work closely with the CFO and executive team to improve financial forecasting, evaluate investment opportunities, analyze operating performance, and turn financial and operational data into actionable business insights.
The ideal candidate will be comfortable working across financial models, operational questions, and underlying business data. This person will help the company better understand where performance is changing, why it is changing, and where capital and resources should be deployed.
This is not primarily a reporting role. We are looking for someone who enjoys solving problems, investigating business trends, working directly with data, and helping management make better decisions.
This role is 100% On-Site. Remote and Hybrid work options are not available.
Key Responsibilities:
Financial Planning & Analysis
- Support the company’s annual budget and rolling forecasting processes.
- Develop financial forecasts at both the consolidated and individual location level.
- Forecast revenue, operating expenses, EBITDA, capital expenditures, debt service, and cash flow.
- Analyze actual results against budget, forecast, and prior-year performance.
- Identify the primary drivers behind financial variances and communicate findings to management.
- Build scenario and sensitivity analyses around pricing, membership, traffic, expenses, capital investment, and other key business drivers.
- Maintain long-term financial models to support strategic planning and capital allocation decisions.
Deal & Investment Underwriting
- Support the evaluation of acquisitions, new developments, renovations, and other major capital investments.
- Build and maintain underwriting models for investment opportunities.
- Evaluate investment returns, financing structures, and downside scenarios.
- Perform base case, downside, and upside scenario analyses.
- Assist in preparing investment recommendations and supporting materials for management, lenders, and ownership.
- Perform post-investment reviews comparing actual performance to original underwriting assumptions.
Operational & Data Analysis
- Analyze financial and operational performance across the company’s portfolio of locations.
- Work directly with the company’s SQL-based database to access, analyze, and report on operational and financial data.