Job Details
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Job Description
- Consolidate and analyze financial data (budgets, income statement forecasts etc.) taking into account company’s goals and financial standing.
- Provide creative alternatives and recommendations to reduce costs and improve financial performance.
- Develop financial models, conduct benchmarking and process analysis.
- Conduct business studies on past, future and comparative performance and develop forecast models.
- Identify trends, advise company and recommend actions to a senior financial analyst based on sound analysis.
- Track and determine financial status by analyzing actual results in comparison with forecasts.
- Reconcile transactions by comparing and correcting data.
- Conduct business studies on past, future and comparative performance to develop forecast models.
- Coordinate with external auditor’s during year end closing.
- Additional duties will be communicated.
Expertise and Background:
- Direct Cash
- Working Capital
- P&L
- Budgeting
- Financial KPI's
- Balance Sheet Analysis
Job Requirements
Academic and professional qualifications:
- Bachelor degree of Finance or Accounting
- CFA or relevant certifications is a plus.
- Excellent English language (verbal & written)
- Preferably Manufacturing background
- Proficient in spreadsheets, databases, MS Office and financial software applications
- Hands on experience with statistical analysis and statistical packages
- Outstanding presentation, reporting and communication skills
- Proven knowledge of financial forecasting and diagnosis, corporate finance and information analysis