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Job Description
- Developing financial KPIs which will be used to assess the success of both the business and the financial strategy.
- Creating, updating, and maintaining financial models and detailed forecasts of the company’s future operational performance.
- Supporting CFO in communicating financial strategy issues and recommended changes to senior management and the Board.
- Presenting the monthly and quarterly financial reports of various units and departments.
- Supporting the strategic planning and strategic initiatives of the company, including acquisitions and investment appraisal, by providing financial planning and modelling skills.
- Preparing presentations to Board of Directors and Senior Management Team.
- Supporting and contributing to the production of the five-year business plan and financial strategy.
- Supporting accounting team in preparing monthly trial balance.
Job Requirements
- Bachelor degree in Economics, Finance, Business.
- At least 3 years of experience in Equity research, FP&A or any related field.
- Good managerial and communications skills.
- Excellent command of spoken and written English.
- Excellent command of modelling and valuation.
- Excellent knowledge in MS office
- Knowledge of accounting principles and financial analysis.