Job Description

● Conduct financial and operational analysis, and prepare sophisticated reports on financial status and risks to provide input to development projects taking into account the company's goals and financial standing (budgets, income statements, etc.). ● Research industry trends, gather operating data and summarize data to structure provide on financial status and risks. ● Produce a full feasibility study report including (market, technical and financial study). ● Develop financial and forecast models based on past, current, and future performance analyses. ● Analyze trends, and provide advice and recommendations to a senior financial analyst to reduce costs and improve financial performance. ● Provide professional reports to senior leaders as input to their decisions.

Requirements

● More than three years of experience in the same roles. ● At least a Bachelor's degree in Finance, Economics, or a closely related field. ● Modeling skills (particularly financial projections). ● Strong analytical skills and proficiency in spreadsheets, 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 (understanding of investment return analysis is an advantage) ● Well-informed in current financial subjects, accounting, tax laws, money market, and business environments. ● Ability to prioritize and perform multiple duties, meet deadlines and work well under pressure. ● Commitment to maintaining the confidentiality of all data relating to colleagues and the company. ● Ability to work both independently and as part of a team. ● Fluent in English. ● More than three years of experience in the same roles.

To see more jobs that fit your career