The ideal candidate has a very advance skill in Excel to produce quality financial reports, including forecast, budget, cash flow, cost and expense controls. He/She is also able to read and analyse financial statements as well project them.
The candidate will work in several consulting projects with different customers from different sectors and industries, that might require visiting and/or work on customer offices.
Analyze current and past financial data and performance to make recommendations on profit enhancement
Consistently analyze financial information based on both routine and ad-hoc reports
Interpret financial data to recognize changing trends, patterns, and their meaning related to key performance indicators
Communicate financial insights suggesting business issues to management
Bachelor's degree in Accounting, Economics, or Finance or equivalent experience
0 - 3 years' financial analysis and modeling experience
Advanced knowledge of Excel
Category: Finance & Management
Is this a project or a position?: Project
Required availability: Part time