Responsabilities:
- Analyze and interpret financial data to identify trends, risks and opportunities.
- Develop financial models to assess the company’s current and future performance, and to support decision-making.
- Prepare annual budgets and financial forecasts in collaboration with the various functional teams.
- Manage the company’s cash flow, by optimizing cash flows and proposing investment strategies.
- Provide financial recommendations to management to support the company’s growth and profitability.
- niversity degree in finance, accounting, economics.
- Significant professional experience in finance, financial management or financial analysis.
- Strong quantitative analysis and financial modeling skills.
- Proficiency in computerized financial management tools and data analysis software.
- Ability to communicate effectively with internal and external stakeholders.
- Results-oriented and able to work under pressure to meet deadlines.
- Opportunity to make a significant contribution to the company’s growth and success.
- Dynamic, stimulating work environment for professional development.
Job Type: Full Time
Type: Emploi