● Providing financial analysis and forecasting based on Cash Flow, P&L, Budget Report, Sales Reports, etc.
● Regular controlling of all documents, collecting, interpreting and reviewing financial information.
● Controlling the information and all financial statements and reports from the mechanized system.
● Preparing interactive and useful financial reports.
● Ensuring compliance and consistency of financial reports coming from different teams.
● Correcting possible discrepancies and inconsistencies in financial reports created by other teams and improving the reliability of the reports as much as possible.
● Supporting different teams with preparing or troubleshooting their reports.
● Playing a key role in the planning processes as well as in the creation of strategic business cases.
● Interacting constantly with other team members in order to improve the accuracy of financial reports.
● Developing financial models and providing financial forecasts, reports & control.
● Manage the production of the annual budget and forecasts and analyze budgets and financial trends.
Requirements
● At least 5 years of related experience.
● Age range: 30-50.
● Working hours: Saturday - Wednesday: 8 AM - 5 PM & Thursday: 8 Am - 12 PM.
● BA in Accounting, Finance or relevant field.
● Excellent communication and people skills.
● Strong leadership and organizational skills.