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Full Time Financial Analyst Bilingual Jobs in Rochester, NY

Sr. Financial Analyst, Americas GBS

Victor, NY ยท On-site

$82K - $102K/yr

This position requires full-time onsite work (5 days per week) in Victor, NY and is not eligible ... The Senior Financial Analyst will lead the preparation and consolidation of regional cash forecasts ...

Payroll Analyst

Rochester, NY ยท On-site

$70K - $85K/yr

Job Type Full-time Description Department: Finance Location: General Code, Rochester, NY Reports To ... The Payroll Analyst is responsible for payroll administration, payroll analysis, accounting support ...

The Rochester Presbyterian Home is seeking a Full Time Finance Manager that, under the direction of ... analysis, and support the CFO in compliance and other general accounting transactions. The ...

The Rochester Presbyterian Home is seeking a Full Time Finance Manager that, under the direction of ... analysis, and support the CFO in compliance and other general accounting transactions. The ...

Payment Recon Analyst

Fairport, NY ยท On-site

$20 - $23/hr

When you join RadNet as Payment Reconciliation Analyst , you will be joining a dedicated team of ... UNAVAILABLEEmployment Type: FULL_TIME

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Full Time Financial Analyst Bilingual information

See Rochester, NY salary details

$38K

$86.9K

$116.4K

How much do full time financial analyst bilingual jobs pay per year?

As of Aug 30, 2026, the average yearly pay for full time financial analyst bilingual in Rochester, NY is $86,936.00, according to ZipRecruiter salary data. Most workers in this role earn between $69,100.00 and $109,000.00 per year, depending on experience, location, and employer.

What is a full time financial analyst bilingual?

A Full Time Financial Analyst Bilingual is a financial professional who works standard full-time hours and is proficient in at least two languages. They analyze financial data, prepare reports, and provide insights to help organizations make informed business decisions. Being bilingual allows them to communicate effectively with clients, colleagues, or stakeholders in different languages, which is especially valuable in multinational companies or organizations with diverse teams. Their role often involves budgeting, forecasting, and financial modeling, and they may also assist in translating financial documents or facilitating meetings across language barriers.

What are the key skills and qualifications needed to thrive as a full time financial analyst bilingual?

To thrive as a Full Time Financial Analyst Bilingual, you need strong analytical skills, financial modeling expertise, and proficiency in at least two languages, typically supported by a degree in finance, accounting, or a related field. Familiarity with tools like Microsoft Excel, financial databases (e.g., Bloomberg), and ERP systems, along with relevant certifications such as CFA or CPA, is highly beneficial. Excellent communication, attention to detail, and cross-cultural collaboration abilities help you stand out in this role. These skills are crucial for accurate financial analysis, effective reporting, and clear communication with diverse stakeholders in global markets.

How does being bilingual enhance collaboration and effectiveness in a full time financial analyst role?

Being bilingual as a Financial Analyst allows you to bridge communication gaps with international clients, colleagues, and stakeholders. This skill is especially valuable in multinational organizations or those with diverse teams, as it enables more accurate financial reporting and analysis across different regions. Bilingual analysts often take on additional responsibilities, such as translating financial documents or facilitating meetings, which can lead to increased visibility and opportunities for career advancement. Effective collaboration across language barriers not only improves project outcomes but also strengthens relationships within the team and with external partners.

What is the difference between Full Time Financial Analyst Bilingual vs Full Time Financial Analyst?

AspectFull Time Financial Analyst BilingualFull Time Financial Analyst
Required CredentialsBachelor's degree in Finance, Accounting, or related field; often requires bilingual certification or language proficiency testsBachelor's degree in Finance, Accounting, or related field; no language requirement
Work EnvironmentCorporate offices, financial institutions, multinational companies with client communication in multiple languagesCorporate offices, financial institutions, primarily English-speaking environments
Employer & Industry UsageUsed in global companies, banks, investment firms with international clientsCommon in domestic companies, financial departments, and local firms

The main difference between a Full Time Financial Analyst Bilingual and a Full Time Financial Analyst is the language requirement. The bilingual role involves fluency in additional languages, often for client communication and reporting in diverse markets, whereas the standard analyst role primarily requires English proficiency. Both roles require similar financial credentials and are used across various financial sectors, but the bilingual position is tailored for international or multicultural work environments.

What are the most commonly searched types of Financial Analyst Bilingual jobs in Rochester, NY?

The most popular types of Financial Analyst Bilingual jobs in Rochester, NY are:

What are popular job titles related to Full Time Financial Analyst Bilingual jobs in Rochester, NY?

For Full Time Financial Analyst Bilingual jobs in Rochester, NY, the most frequently searched job titles are:

What job categories do people searching Full Time Financial Analyst Bilingual jobs in Rochester, NY look for?

The top searched job categories for Full Time Financial Analyst Bilingual jobs in Rochester, NY are:

What cities near Rochester, NY are hiring for Full Time Financial Analyst Bilingual jobs?

Cities near Rochester, NY with the most Full Time Financial Analyst Bilingual job openings:

Sr. Financial Analyst, Americas GBS

Victor, NY โ€ข On-site

$82K - $102K/yr

Full-time

Re-posted 20 days ago


Job description


At CooperVision, a division of CooperCompanies, we're driven by a unifying purpose to help people to experience life's beautiful moments. We are connected through our shared values - dedicated, innovative, friendly, partners, and do the right thing. As a leading global manufacturer of contact lenses, we are committed to helping improve the way people see each day. Through our diverse lens portfolio, we tackle the toughest vision challenges - including astigmatism, presbyopia, and childhood myopia. We offer the most complete collection of spherical, toric, and multifocal products available, enabling us to fit 99% of all contact wearers. Learn more at www.coopervision.com.
Scope:
The Senior Financial Analyst, GBS Americas is responsible for delivering financial analysis and advanced data analytics to support Americas GBS leadership, with a primary focus on cash forecasting, liquidity management, and working capital optimization. This role consolidates data from multiple systems, supports regional reporting, and develops actionable insights to enhance financial performance and operational excellence across the Americas. This is onsite 5 days a week in office position.
  • This role is not eligible for employer-sponsored work authorization now or in the future. Applicants must be authorized to work in the United States on a permanent and ongoing basis without the need for future sponsorship (i.e., H1B, STEM OPT extensions, TN, etc.)
  • This position requires full-time onsite work (5 days per week) in Victor, NYand is not eligible for relocation assistance

This role is primarily responsible for cash flow forecasting, variance analysis, and scenario modeling to support effective liquidity planning and strategic decision-making. The Senior Financial Analyst will lead the preparation and consolidation of regional cash forecasts, analyze performance against expectations, and provide clear insights into drivers and risks. The position requires development of dashboards and analytics to monitor KPIs, cash performance, and working capital, while supporting continuous improvement initiatives. The role includes presenting insights to senior leadership, enhancing forecasting accuracy, and driving process improvements to ensure data integrity and efficiency. This role partners closely with Finance, FP&A, Treasury, and Operations teams across the Americas and requires strong collaboration, analytical rigor, and business acumen.
Responsibilities
Essential Functions & Accountabilities:
  • Prepare and manage short- and long-term cash flow forecasts (direct and indirect), including regional consolidation across the Americas
  • Perform variance analysis (forecast vs. actuals) to identify key drivers, risks, and opportunities, and communicate actionable insights to leadership
  • Develop and maintain scenario modeling and sensitivity analysis to support strategic planning and decision-making
  • Analyze and optimize working capital components (AR, AP, inventory) to improve liquidity and cash conversion
  • Partner with Treasury, FP&A, and Operations teams to enhance cash visibility, forecasting accuracy, and liquidity planning
  • Develop and maintain advanced dashboards and reporting tools using Tableau, Excel, or similar platforms
  • Analyze large and complex datasets from multiple ERPs and systems to deliver clear, data-driven insights
  • Automate reporting and forecasting processes to improve efficiency, scalability, and accuracy
  • Deliver KPI and SLA reporting with performance commentary and improvement recommendations
  • Collaborate cross-functionally to define and standardize performance and cash-related metrics
  • Prepare and present executive-level reports and insights to senior leadership
  • Support strategic initiatives and perform ad hoc financial modeling and analysis

Qualifications
Knowledge, Skills and Abilities:
  • Strong expertise in cash flow analysis, forecasting, and liquidity management
  • Advanced analytical capabilities with experience in variance analysis and scenario modeling
  • Deep understanding of working capital drivers and cash optimization strategies
  • Advanced Excel skills, including financial modeling and large dataset analysis
  • Experience with data visualization tools (Tableau preferred)
  • Strong communication and presentation skills, with the ability to influence senior leadership
  • Ability to translate complex financial data into clear, actionable insights
  • Proactive, detail-oriented, and able to manage multiple priorities in a fast-paced environment
  • Strong collaboration skills with cross-functional teams and external partners
  • Experience with ERP systems (Oracle, D365, HFM preferred) and data modeling

Experience & Education:
  • Bachelor's degree in finance, Accounting, Business Analytics required (MBA preferred)
  • 5+ years of experience in cash forecasting, FP&A, Treasury, or financial analysis
  • Proven experience in cash flow modeling, variance analysis, and scenario planning
  • Experience in shared services or GBS environments preferred
  • Hands-on ERP experience (Oracle, D365 preferred)

Work Environment:
  • Office-based role with extended periods working at a computer
  • Occasional need to work evenings, weekends, or holidays based on business needs

We are committed to equal employment opportunity regardless of race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender, gender identity or expression, or veteran status. We are proud to be an equal opportunity workplace.
For U.S. locations that require disclosure of compensation, the starting base pay for this role is between $83,458.00 and $111,277.00 per year and may include cost of living adjustments. The actual base pay includes many factors and is subject to change and modification in the future. This position may also be eligible for other types of compensation and benefits.
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