Key Responsibilities
• Financial data analysis:
Collect, consolidate, and analyze financial information, reports, and performance indicators to draw accurate conclusions.
• Evaluation and forecasting:
Evaluate the performance of investments such as stocks and bonds, and use financial models to forecast market trends and future performance.
• Providing recommendations:
Offer business and investment recommendations, propose solutions to reduce costs, improve financial performance, and optimize cash flow.
• Financial modeling:
Develop complex financial models, assess risks, and build investment and financial plans for various projects.
• Support and reporting:
Support other departments within the company and clients in better understanding market trends and making appropriate investment decisions.
Candidate Requirements
• University degree or higher in Finance, Accounting - Auditing, Banking, or other related fields.
• Minimum of 5 years of experience in a similar position.
• Knowledge in accounting, tax law, and management accounting.
• Ability to read and translate documents in English.
• Strong understanding of government and company regulations and policies related to accounting and taxation practices.
