Senior Financial Analyst - Tampa FL
Be a part of a revolutionary change!
At Philip Morris International (PMI), we’ve chosen to do something incredible. We’re totally transforming our business and building our future on one clear purpose – to deliver a smoke-free future.
With huge change, comes huge opportunity. So, if you join us, you’ll enjoy the freedom to dream up and deliver better, brighter solutions and the space to move your career forward in endlessly different directions.
Our success depends on people who are committed to our purpose and have an appetite for progress.
Position Overview:
The Sr. Financial Analyst plays a critical role in driving transparency and supporting data‑driven decision‑making across multiple categories. This role leads IMS analytics, combining market and competitive dynamics, and provides clear insights on volume trends versus plan and forecast. The analyst is responsible for delivering high‑quality management reporting, preparing performance narratives, dashboards, and variance analyses for senior stakeholders. In addition, the role manages key submissions for corporate reporting (GSPR and GFSRep), ensuring accuracy, compliance, and alignment with corporate requirements. The Sr. Financial Analyst proactively identifies risks, opportunities, and structural trends, partnering closely with Trade Marketing, Finance, and Strategy teams to ensure consistency of assumptions and elevate insight quality. The position also supports scenario modeling, ad‑hoc analyses, and continuous improvement of reporting processes, data governance, and automation to enhance efficiency and insight generation.
Your Day to Day:
- Lead IMS analytics across categories, ensuring accurate interpretation of market and competitive trends.
- Produce high‑quality management reporting, including performance dashboards, variance narratives, and monthly/quarterly reviews.
- Manage key Corporate Reporting (GSPR and GFSRep) submissions, ensuring accuracy, compliance, and timely delivery.
- Conduct volume trend and forecast variance analysis, highlighting key drivers and implications for the outlook.
- Identify and communicate risks, opportunities, and structural trends impacting category and total‑market performance.
- Partner cross‑functionally with Trade Marketing, Finance, and Strategy to align assumptions and elevate insights.
- Support scenario modeling, ad‑hoc analyses, and decision‑support for senior stakeholders.
- Drive process improvement, data quality, and automation, enhancing reporting efficiency and governance.
Who we're looking for: