Start Date
Immediate
Expiry Date
24 Aug, 25
Salary
0.0
Posted On
24 May, 25
Experience
3 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Forecasting, Soft Skills, Time Management, Teamwork, Financial Reporting, Financial Modeling, Business Acumen, Power Bi, Data Analysis
Industry
Financial Services
OVERVIEW
Responsible for developing budgets, financial models, and forecasts to support business strategy while preparing and analyzing financial reports, statements, and key performance indicators (KPIs). To identify trends, risks, and opportunities through data analysis to provide valuable insights for management decisions. Additionally, he/she will collaborate with finance teams, executives, and department heads to ensure financial goals are met, while also ensuring compliance with financial regulations and continuously improving reporting processes.
KNOWLEDGE/EXPERIENCE
What specific knowledge/experience/qualifications are required for this role
TECHNICAL SKILLS:
Financial Modeling & Forecasting
Financial Reporting & Analysis
Data Analysis & Interpretation
Budgeting & Variance Analysis
Accounting Knowledge & principles (GAAP/IFRS)
MS Excel (advanced) & Financial Software (SAP, Microsoft D365, Power BI, etc)
SOFT SKILLS:
Attention to Detail
Problem-Solving
Strong Communication
Business Acumen
Collaboration & Teamwork
Time Management
QUALIFICATIONS:
Financial Planning & Forecasting: Develop budgets, financial models, and long-term forecasts to support business strategy.
Financial Reporting: Prepare and analyse vertical and group financial statements, variance reports, and performance metrics.
Data Analysis: Identify trends, risks, and opportunities by analysing financial data.
Business Partnering: Collaborate with executives, finance teams, and department heads to align financial plans with business objectives.
Variance Analysis: Investigate discrepancies between actual and forecasted financial performance and provide recommendations.
KPI Monitoring: Track and report key performance indicators to assess business performance.
Process Improvement: Enhance financial reporting systems, automate processes, and ensure data accuracy.
Regulatory Compliance: Ensure adherence to financial regulations and internal policies.
Prepare and submit Ecommerce weekly report
Supervision of monthly reconciliation of the bank accounts
Review and reconcile monthly inter-companies’ account balances
Ensure real-time posting of all financial transactions.
Supervise to ensure verticals’ monthly finance reports are accurately prepared
Approval and Review of General Journals and Ledger, Posting of Fixed asset as at month end
Prepare group share costs and advise verticals and entities within the group
Any other activity assigned by the CFO