A prominent holding company in Turkey is seeking a Mid-Senior level Finance Executive to support various financial analyses and reporting. The ideal candidate has a Bachelor’s degree in Business, Mathematics or a related field and substantial experience in financial modelling, project finance, and valuation. Proficiency in Advanced Excel, strong analytical and communication skills are essential. This is a full-time role aimed at optimizing financial performance in various sectors including Construction and Retail.
Qualifications
Bachelor’s degree in Business, Mathematics or a related analytical field.
Experience in financial modelling, project finance, M&A or valuation.
Strong knowledge of income statements, cash flow and investment analysis.
Advanced Excel skills; strong command of MS Office.
Fluency in English (written and spoken); additional languages are a plus.
Responsibilities
Prepare income statement, balance sheet and cash flow projections.
Develop and maintain financial feasibility and valuation models for investments.
Support investment, capex and tender processes with financial analysis.
Prepare business plans, budgets and variance analyses.
Track KPIs and report deviations to stakeholders.
Prepare regular performance reports and ad hoc financial analyses.
Skills
Financial modelling
Project finance
M&A
Valuation
Advanced Excel skills
MS Office
Strong analytical skills
Communication skills
Fluency in English
Education
Bachelor’s degree in Business, Mathematics, or related field
Tools
SAP
Job description
Finance Executive (Corporate Finance & Treasury)
Bachelor’s degree in Business, Mathematics or a related analytical field
Experience in financial modelling, project finance, M&A or valuation
Strong knowledge of income statements, cash flow and investment analysis
Advanced Excel skills; strong command of MS Office
SAP knowledge is a plus
Strong analytical, planning and communication skills
High integrity, curiosity and self-motivation
Fluency in English (written and spoken); additional languages are a plus
Responsibilities
Prepare income statement, balance sheet and cash flow projections
Develop and maintain financial feasibility and valuation models for investments
Support investment, capex and tender processes with financial analysis
Prepare business plans, budgets and variance analyses
Track KPIs and report deviations to stakeholdersPerform scenario and sensitivity analyses
Prepare regular performance reports and ad hoc financial analyses
Support commercial teams with feasibility and revenue analysis