We need an accurate problem solver with ability in analytics and planning to join our team
Requirements:
Master's degree in Accounting, Finance, Economics, Industrial Engineering
3 years of experience in cost and budget control, cash flow preparation, and analysis
Strong communication and presentation skills. Must be comfortable interacting with senior executives
Knowledge of standard accounting principles
Experience in checking and controlling of financial operations, and documentation.
Experience in the preparation of financial reports for management
Excellent MS Office skills, especially Excel, and PowerPoint
Ability to work in a fast-paced environment, able to prioritize tasks, attention to detail
Ability to analyze complex reports or data
Duties/ responsibilities:
Monitoring monthly development of cost, analyzing and reporting deviations to management, and considering alternatives for overcoming possible risks as well
Maintain and improve existing financial databases
Budget forecasting and analysis (as a member of a team)
Track and monitor the process of changes in data