• Prepare reports from statistical and financial information according to stated schedules
• Prepare non-routine financial data as requested in order to support management decision-making.
• Consolidate and analyses financial data (budgets, income statement forecasts etc.)
• Provide creative alternatives and recommendations to reduce costs and improve financial performance
• Assemble and summaries data to have reports on financial status and risks
• 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 based on sound analysis
• Determine financial status by analyzing actual results in comparison with forecasts
• Reconcile transactions by comparing and correcting data
Requirements
• BS or MS degree in Finance, Accounting or related field
• At least 3 years of experience
• Well informed in current financial subjects, tax laws, money market and business environment
• Proficient in financial software especially “Sepidar System“
• Good knowledge of Microsoft office specially Excel
• Excellent knowledge of English Language