Responsibilities:
- Build budgets and forecasts of future company performance
- Provide analytical, forecasting, reporting, and project support to senior colleagues
- Produce daily/monthly reports, which include key metrics, financial and operational results, and variance analysis
- Perform quantitative analysis of operational and financial data
- Build and manage financial models by organizing and analyzing a wide range of data sources
- Prepare financial reports for internal use in the company by collecting, analyzing, formatting, and presenting information
- Work within a dynamic team environment
- Performs ad hoc analysis for executives as required
Requirements:
- Bachelor’s degree in Finance/Accounting/STEM required 1-2 years of relevant experience in the corporate finance, FP&A, investments, Big four, or other related fields
- Strong knowledge of financial/accounting/operational principles Proficiency in Microsoft Excel and PowerPoint
- Advanced financial modelling skills, understanding of the FAST principles
- Software skills, including Excel VBA and Power BI, is a plus
- Excellent quantitative and qualitative analytical skills
- Detail-oriented, multitasking skills and ability to perform under high-pressure and fast-paced environment
- Fluency in English required