Responsibilities:
Review and validate financial reports to ensure accuracy, consistency, and completeness;
Collaborate with various departments to prepare and review budgets and financial forecasts, ensuring alignment with organizational guidelines;
Analyze actual performance versus budget, interpret variances, and present monthly results to management;
Conduct financial evaluations of proposed transactions, including investments, business development opportunities, and strategic initiatives;
Build detailed financial models, including projections, sensitivity analyses, and scenario planning;
Perform market and macroeconomic research to inform strategic decisions and performance improvements;
Qualifications:
Bachelor's degree in Accounting, Economics, or Finance or equivalent experience (relevant international certifications as CFA, ACCA are considered a strong asset);
At least 3 years experience in analyzing and interpreting financial information;
Advanced proficiency in Microsoft Office (especially Excel); experience with financial databases and a good understanding of ERP systems;
Fluency in English;
What you need to do now
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