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Performs highly complex financial analyses on cash flows, operating results, and business plans to determine rates of return, capital/cash flow requirements, etc
Prepares forecasts and analyses on industry and general economic trends
Responsible for budget analysis
Responsible for business units budgeting process: plans, develops, prepares, inputs and maintains company’s budgets
Requirements:
Qualified Chartered Accountant or master’s degree with 8+ years of relevant working experience
Self-starter that takes ownership of issues and drives them toward a conclusion
Able to succeed in a fast, high-growth and fairly unstructured work environment
Ability to dig into details as well as analyze data from a high-level view
Advanced Excel skills
Excellent written and verbal communication and interpersonal/networking skills
Team player with an open and internal customer focused approach