Analyze financial information to produce forecasts of business.
Develop P&L budget and cash flow Budget.
Determine financial status by Monitoring and analyzing plans and forecasts with actual results.
Conduct regular Monitoring & reviews to update the budget variance & Cause of Change.
Provide information to the Finance Manager by assembling and summarizing data; preparing reports; making presentations of findings, analysis, and recommendations.
Develop financial analysis reports on Monthly & Quarterly Basis.
Qualification
bachelor's degree in finance, accounting
up to 4 years Experience in same position.
Excellent time management and organizational ability.
Ability to multitask and meet constant deadlines.
Strong mathematical, statistical, and analytical skills.
Outstanding presentation, reporting skills.
Communication skills have a strong analytical mindset with technical ability and excellent Communication skills.