Job Description:

Analyzing present financial performance and making strategic recommendations 
Performing periodic reviews and financial evaluations
Preparing projections and forecasts based on past and present financial data
Creating financial models (often in Excel) to inform strategies and forecasts and business valuation
Working with big data sets to analyze market, industry, and sector trends and their impact on the business
Identifying investment opportunities and studying risk factors
Developing reports, tools, and Excel dashboards for financial reporting, analysis, and forecasting
Credit analysis and structuring in line with policies and regulations

Requirements

Bachelor's degree in accounting or a related field
2+ years of experience in finance, preferably in the financial industry
Excellent customer service skills
Ability to work independently and as part of a team
Proficiency in Microsoft Office Suite
  • Finance
  • Accounting
  • Audit