Main Responsibilities:
- Prepare and analyze monthly financial and operating reports including, but not limited to, monthly reports, forecasts, monthly variance analysis of performance and budget
- Identifying financial performance trends and financial risk, areas of improvement, and making recommendation
- Spearhead the annual and quarterly budgeting and forecasting processes
- Identify risk and opportunities for performance improvement across the company such as explore financing options, FOREX, hedging etc.
- Develop models that help with decision-making and support the management team and department heads with ad hoc analysis, reporting, and special projects as needed
- Perform all financial functions including evaluation, analysis, planning, budgeting, taxation, consolidation, cost control, project control, and manage the activities of the finance team
- Evaluate and analyze investment options, investment opportunities, costs, depreciation, rates of return, profit plans, operating records, financial statements, etc.
Job Requirements:
- Bachelor’s degree in Finance, Accounting, or related field; preferable if CPA or CFA
- 5 years of relevant experience in corporate finance, financial planning & analysis, investment, or other related fields
Additional Information:
- Base salary + 35% performance-based bonus.
- Health insurance package.
- Employee transportation.
- Flexible working hours.
- Daily meals.
- Mobile phone allowance and fuel support.
- Discounted MSM Group products.