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Job Description
- Financial analysis and fact verification of the financial reports obtained from various departments at clients companies such as, sales, marketing, production, etc.
- Assemble spreadsheets and draw charts and graphs used to illustrate technical reports, using computer
- Analyze financial information to produce forecasts of business, industry, and economic conditions for use in making investment decisions
- Coordinating with the Partners on document preparation and forecasts
- Maintain knowledge and stay abreast of developments in the fields of business, finance, and economic theory
- Monitor fundamental economic, sectoral, and corporate developments through the analysis of information obtained from financial publications and services, investment banking firms, government agencies, trade publications, company sources, and personal interviews
- Develop and assess regularly competitor / peer performance in order to determine and design winning strategy
- Interpret data relating to new projects / investment programs for future trends, risks, and economic influences
- Answer questions from Investors on forecasts and company data
- Attend client meetings for data collection and presentations
Job Requirements
- Qualified Finance Graduate / MBA having 1-3 years of experience in a structured work environment
- Ability to think deeply and quantitatively about business problems, breaking down problems and presenting solutions while evaluating the pros and cons of each option
- Ability to ensure work quality and accuracy
- Very good attention to detail, analytical skills and logical reasoning
- Very good written & spoken communication skills in English and Arabic
- Willing to work extended hours and with minimal supervision.
- Excellent command over MS Office Suite