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Cleopatra Hospitals Group

تفاصيل الوظيفة

Core Responsibilities Analyze financial information to produce forecasts of business. Develop P&L budget and cash flow Budget. Determine financial status by Monitoring and analyzing plans and forecasts with actual results. Conduct regular Monitoring & reviews to update the budget variance & Cause of Change. Provide information to the Finance Manager by assembling and summarizing data; preparing reports; making presentations of findings, analysis, and recommendations. Develop financial analysis reports on Monthly & Quarterly Basis.
Qualificationbachelor’s degree in finance, accountingup to 4 years’ Experience in same position. Excellent time management and organizational ability. Ability to multitask and meet constant deadlines. Strong mathematical, statistical, and analytical skills. Outstanding presentation, reporting skills. Communication skills have a strong analytical mindset with technical ability and excellent Communication skills.

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حول Cleopatra Hospitals Group
مصر, القاهرة
المستشفيات والرعاية الصحية