Responsibilities
- Analyze data and create financial models for decision making
- Perform financial forecasting, reporting, and tracking of operational metrics
- Report on financial performance and prepare materials for regular management reviews
- Analyze past results, perform variance analysis, identify trends, and recommend improvements
- Work closely with the Finance teams of business verticals to ensure accurate financial reporting
- Recommend actions through data analysis and interpretation and prepare comparative analysis
- Identify and drive process improvements, including the creation of standard and ad-hoc reports, and dashboards
- Enhance productivity by developing automated reporting and forecasting tools
- Conduct market research, data mining, business intelligence, business valuations, perform industry comparison, peer reviews, create Benchmark and KPI’s as applicable to various businesses
- Perform Business and Equity valuation for Mergers & Acquisitions and Exit probabilities.
Educational Qualifications
- Education Degree: Masters
- Major: Finance
- Qualified finance professionals with CA, CFA, CMA, ACCA or CPA
Experience
- Years of Experience: 10 - 15Years
- Field of Experience: Experience in Accounts / Finance preferably with a background in Corporate Finance
Skills
- Expert working knowledge in IFRS and IAS
- Proficiency in Microsoft office tools and analytical tools such as Power BI
- Strong quantitative and analytical skills
- High degree of Accountability, Integrity & Responsibility in all assigned tasks.
- Advanced level of Excel knowledge including managing large datasets.
- Detail-oriented with strong analytical abilities and a strong focus on accuracy
- Excellent Interpersonal skills and cross functional stakeholder management