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Job Description
Role and Responsibilities
Examine financial data and develop detailed financial model. Evaluate, analyze and create meaningful business reporting. Develop trends, budget, and projections for the Group. Work with data source providers and technology teams to ensure that key decision data is accurate, automated, and timely. Preparation and submission of Group consolidation. Integrate actual financial results with forecasted financials therefore maintaining a complete financial forecast for the group. Lead preparation of Board & other detailed presentations with core findings. Support the accounting team in developing financial forecasts and reporting tools. Participate in the identification of opportunities for continuous improvement and sustainability of systems, processes and practices, productivity improvement, and cost reduction.
SKILLS REQUIRED
Strong analytical, problem-solving skills, and accounting knowledge. Experience in preparing trend analysis, building complex financial models, analyzing, presenting results to senior management. Highly detail-oriented and organized. Attention to consistent achievement of deadlines provided. Previous experience in data gathering, financial modeling spreadsheet & document maintenance. Familiarity with SAP MS Office programs Advance Excel skills.
Manage tasks projects independently Flexible work extended hours during peak times.
QUALIFICATIONS Master’s degree or Professional qualification is preferable More than three years of experience in a similar position.
Key Job Requirements: