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MAIN PURPOSE OF ROLE
Analyze and forecast financial, economic, and other data to provide accurate and timely information for strategic and operational decisions.
MAIN RESPONSIBILITIES
Collect, compile, verify, and analyze financial information and economic indicators so that senior management has accurate and timely information for making strategic and operational decisions on, for example, acquisitions, investments, capital expenditure, divestitures, mergers, or the sale of assets.
Analyze the financial implications of proposed investments or other transactions so that senior managers can evaluate alternatives against the organization s business objectives.
Evaluate industry, economic, financial, and market trends to forecast the organization s short, medium and long-term financial and competitive position.
Data analyzed may include revenues, expenses, costs, prices, investments, cash flow, profits, labor market trends, inflation, interest rates, and exchange rates.
Education Level
Associates Degree ( 13 years)
Experience
2 to 3 years
Job ID: 110301683
Skills:
Advanced Excel, Vendor management, Audit processes, Finance Operations, Financial reporting, ERP systems, Reconciliations
Skills:
Advanced MS Excel, Income Tax, Tds, Budgeting, Gst, Mis, Taxation Laws, Statutory Compliance, Variance Analysis, Financial Reporting
Skills:
Funding, Reporting and Analysis, Cash Flow Management, Capital Management
Skills:
Excel, Financial Analysis, Accounting, Financial Controls, Budgeting, ERP Accounting Systems
Skills:
Financial Analysis, Budgeting, Forecasting, Tax Compliance, Risk Management, Financial Reporting, Cash Flow, Cost Control, regulatory knowledge, investment strategies
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