Job Description
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