Location
Remote
Salary
Not specified
Type
fulltime
Posted
Today
via linkedin
Job Description
The ideal candidate will be responsible for ensuring consistent corporate financial strategy through a range of avenues such as managing and allocating accounts, financial statements, and tax data.
Responsibilities
- Supervise and analyze financial and accounting information, ensuring its accuracy and compliance with regulations.
- Prepare and monitor budgets, forecasts, and financial reports.
- Analyze business profitability and support decision-making through detailed financial analysis.
- Control provisions, expenses, and validate financial requests.
- Identify and manage financial risks and opportunities for improvement.
Requirements:
- Advanced English.
- Solid experience with corporate ERP systems.
- Leadership in budget and forecast administration.
- Advanced Excel and proficiency in Microsoft Office.
- Power BI for financial analysis and KPI tracking.
- Strategic analytical skills and managerial-level decision-making ability
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