Analyze financial data to identify our company's financial status
Conduct cost and benchmarking analyses
Prepare budget reports
Develop financial models, taking legal limitations into consideration
Participate in regular audits and recommend corrective financial action plans
Design and review fiscal policies
Identify investment opportunities
Advise our senior management team on financial planning (e.g. acquisitions, mergers and loans)
Create forecast models based on current and past financial results
Providing financial insights to enable senior management to make critical business decisions, which may include demonstrating which strategic initiatives create value
Forward financial planning including capital budgeting in the context of strategic developments in the market infrastructure industry
Qualifications:
Masters /Bachelors Degree in Finance Accounting.
Professional Qualification in Accounting (ACCA, CIMA, ACA, CPA)
Over 10 years of relevant experience.
Experience in ensuring smooth delivery of financial sector, Investment Bank or other financial market entity (e.g. electronic trading systems, post-trade)
Past employment in the finance function of a listed company ideal and/or exposure to investor relations disciplines.
Proven track record of disciplines around [quarterly] reporting to internal and external stakeholders