- Develop financial models through benchmarking and process analysis
- Forecast quarterly and annual profits
- Prepare cost projections
- Analyze and report on current financial status
- Conduct thorough research of historical financial data
- Explore investment options and present risk and opportunities
- Coordinate with the CFO and the executive team on long-term financial planning
- Compare anticipated and actual results and identify areas of improvement
- Participate in budgeting (for departments and projects)
- Review accounting transactions for data accuracy
- Establish financial policies
- Maintain confidentiality of financial information and investment decisions
Job Requirements :- Bachelor’s degree, preferably in Finance, Economics, Statistics, or a related field.- Experience 2 Years in financial institutions i.e., banks -Must Experience in Assets &liability Management, and/or financial analysis, and/or market risk.- Excellent analytical and quantitative skills, with strong attention to detail.- Proficient user of Microsoft office as well as, ability to develop rigorous analysis using different applications like Power BI.- Strong written and oral communication skills.- Ability to manage multiple tasks and thrive in a fast-paced team environment