Collect, verify, and analyze financial information from departments.
Prepare plans/facts comparison of the cash flow budget's execution and analysis of deviations.
Prepare presentations on financial performance and achievements.
Maintain and improve the existing financial database.
Primary documentation checking.
Costs and budget control, cash flow preparation, and analysis.
Check and control financial operations, transactions, etc.
Prepare financial reports for the management.
Requirements
Bachelor's or Master's degree in Accounting, Finance, or Economics.
Relevant occupational retraining is preferable.
At least 5 years of experience in the Oil and Gas industry in a finance or budgeting department; at least 3 years of experience in a managerial position.
Upper-Intermediate English level.
Excellent MS Office skills, especially Excel and Outlook.
Ability to work in a fast-paced environment, able to prioritize tasks, attention to detail, and a strong team spirit.