Job Title
We are seeking a seasoned Financial Strategist to lead our financial operations and drive business growth.
- Maximizes return on financial assets by establishing robust financial policies, procedures, controls, and reporting systems.
- Supports the financial monitoring of the organization, ensuring transparency and accountability.
Main Responsibilities :
Provides insightful analysis of the financial condition and prepares special reports by collecting, interpreting, and reporting financial data.Develops profitability models and contributes to monitor and optimize business margins.Prepares budgets in relation with different departments, ensuring alignment with organizational goals.Helps achieve budget objectives by establishing financial forecasts, analyzing variances, and initiating corrective actions.Supports the monitoring of the organization, performing periodic or specific financial reporting to stakeholders.Participates in transversal projects with their financial dimension.Protects assets by establishing, monitoring, and enforcing internal controls.Requirements :
Degree in Economics, Business Administration, Mathematics, Statistics, Engineering, or similar areas.Minimum 3 years of experience in similar functions in financial institutions.Fluent English (written and spoken).Familiarity with French is an asset.Proven working experience as a Financial controller or Financial Analyst.Preferred Skills :
Expert level in Microsoft Office, particularly Excel, and VBA.ORACLE ERP & EPM (Financial Reporting Center) expertise.Qlik View and PowerBI proficiency.Key Qualities :
Analytical competences.Excellent interpersonal skills.High working capability and flexibility in daily workload.Team spirit.Dynamism, proactivity, and strong initiative.Strong sense of responsibility, organization, rigor, and quality of work.CV attachment is mandatory.