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Job Description
- Monitor the day-to-day financial operations within the company (payroll, invoicing, and other transactions).
- Review, monitor and manage the budgets.
- Produce and manage financial reports related to budgets, account payables, and accounts receivables, expenses and other monthly and quarterly management reports.
- Develop long-term business plans based on these reports.
- Develop strategies that work to minimise financial risk
- Collect, interpret and review financial information.
- Ensure compliance with accounting policies and regulatory requirements.
- Predict future financial trends and analyze the current market trends and competitors’.
- Support and participate in strategic data analysis, research, validation of plans, modeling and ad-hoc requests for senior company leadership.
- Report to management and stakeholders, and provide advice how the company and future business decisions might be impacted.
Job Requirements
- Bachelor's degree in Finance or Accounting; CPA is a plus.
- Bachelor’s degree in Business.
- Minimum 10 years of experience in accounting and/or financial analysis.
- Ability to synthesize large quantities of complex data into actionable information.
- Ability to work and effectively communicate with senior-level business partners.
- Excellent business judgment, analytical, and decision-making skills.
- Knowledge of financial reporting and data mining tools such as SQL, Access, etc.
- Strong demonstrated use of Excel, Word, and PowerPoint.
- Negotiation skills and the ability to develop strong working relationships.
- Commercial and business awareness.
- Good communication skills – both written and verbal.
- A keen eye for detail and desire to probe further into data.
- Ability to stick to time constraints.