Confirmed on the employer's own hiring board on Oct 3, 2026. First seen by Alion on Oct 2, 2026.
Our Company
Amerita
Overview
Amerita, Inc. is a leading provider in home Infusion therapy. We are looking for a Financial Analyst to join our Finance team as we grow to be one of the top home infusion providers in the country. The Financial Analyst will report to the FP&A Manager and work in our Centennial, CO office.
Amerita is an entrepreneurial-founded company and a wholly owned subsidiary of PharMerica. The home infusion market is positioned for rapid growth driven by the aging population, increase in chronic diseases, robust pipeline of infusible drugs coming to market, and an industry shift from hospital delivery settings to lower-cost, high-quality alternative providers such as Amerita.
As a core member of the Finance team, you will be expected to coordinate with all levels of management to gather, analyze, summarize and prepare recommendations regarding financial plans, acquisitions activity, trended future requirements and operating forecasts. We will help you achieve your goals through continuous professional development and regular career progression discussions.
Schedule: Mon-Fri 8:00am-5:00pm
We Offer
- Medical, Dental & Vision Benefits plus, HSA & FSA Savings Accounts
- Supplemental Coverage - Accident, Critical Illness and Hospital Indemnity Insurance
- 401(k) Retirement Plan
- Company paid Life and AD&D Insurance, Short-Term and Long-Term Disability
- Employee Discounts
- Tuition Reimbursement
- Paid Time Off & Holidays
Responsibilities
As a Financial Analyst, you will...
- Be responsible for weekly and periodic reporting on financials and business trends.
- Evaluate profit plans, operating records and financial statements of the company.
- Assist in the preparation of studies, reports, analyses and recommendations in areas such as budgets, forecasts, financial plans, governmental requirements, statistical reports and business forecasts.
- Perform research work and prepares reports on subjects as rate of return, depreciation, working capital requirements, investment opportunities, investment performance and impact of governmental requirements.
- Prepare forecasts and analyzes financial information to determine the present and future performance of the company.
- Conduct special studies to analyze financial actions and prepare recommendations for company policy, procedure, control or action.
- Interpret financial policies, governmental legislation, accounting theory or customer financial regulations.
- Be involved in the Annual and Quarterly Planning process by gathering and analyzing historical sales and financial data.
Qualifications
- Bachelor's degree
- At least two (2) years of Financial Planning experience
- Previous experience with analyzing and forecasting P&L results
- Proficiency with Microsoft Office Suite

