• Analyze financial statements, business trends, and key performance indicators (KPIs). • Prepare monthly, quarterly, and annual financial reports for senior management.
• Conduct variance analysis to compare actual performance vs. budget/forecasts.
• Assist in developing annual budgets and financial forecasts.
• Monitor spending patterns and revenue streams to ensure financial stability.
• Identify cost-saving opportunities and recommend strategies to optimize expenses.
• Business Performance & Decision Support.
• Provide financial insights to support strategic business planning and investment decisions.
• Conduct profitability analysis of different business units and projects.
• Evaluate risks, market trends, and competitive benchmarks to guide business strategy
• Build financial models to assess potential investments, expansions, and cost structures.
• Utilize data analytics tools to track financial performance and highlight key trends.
• Conduct scenario analysis for risk assessment and contingency planning.
• Ensure compliance with financial regulations, corporate policies, and tax laws.
• Assist in internal audits and financial risk assessments.
• Work closely with the finance and accounting teams to maintain accurate financial records
• Bachelor’s degree in finance, Accounting, Economics, or a related field. • Professional certifications such as CFA (Chartered Financial Analyst) or CPA (Certified Public Accountant) are preferred.• Minimum 3-5 years of experience in financial analysis, corporate finance, or investment analysis. • Strong knowledge of financial principles, accounting standards (IFRS/GAAP), and risk assessment. • Familiarity with industry trends, economic indicators, and market analysis. • Financial planning and business strategy alignment. • Critical thinking and problem-solving in financial contexts. • Financial modeling software (Odoo, Bloomberg, SAP, Oracle, QuickBooks). • Data analytics tools (Excel, Power BI, Tableau, SQL