Conduct in-depth research of historical financial data; analyze and report the company’s current financial status.
Organize data into accessible reports and perform various types of analysis using key metrics such as yearly growth, return on assets, return on equity, and earnings per share.
Oversee financial functions, such as assessing, auditing, planning, budgeting, taxes, consolidation, cost control, and project control.
Evaluate and analyze capital expenditures, depreciation, proposals, investment opportunities, rate of return, profit plans, operating records, financial statements, etc.
Analyze current and past financial data and performance.
Develop financial models and cost projections.
Review, track, and analyze invoices and manage procurements according to the organization's standards.
Coordinate with other members of the finance team to review financial information and forecasts.
Ensure proper review of the Balance Sheet and conduct a quarterly balance sheet review.
Support business requirements.
Skills
Proven working experience as a Finance Analyst.
Proficient in spreadsheets, databases, MS Office, and financial software applications.
Power BI, Financial Modeling, scorecards, and advanced Excel are a must.
Hands-on experience with statistical analysis and statistical packages.
Proven knowledge of financial forecasting and diagnosis, corporate finance, and information analysis.
Well-informed in current financial subjects, accounting, tax laws, money market, and business environments.