Main Purpose of the Role:
Analyze financial data and provide forecast support.
Prepare reports, presentations, data analysis and projections based on financial data
Recommend improvement and initiatives to increase process efficiencies
Evaluate current and previous financial data and map business processes
Communicate with C-suite executives to promote tasks and projects
Main Tasks:
Perform analysis to identify any problems or trends that may impact finance, business and cash flow. Assist in mapping and facilitating resolution of these issues.
Analyze and generate reports and presentations to review to discuss the requested task or project. Provide reports to management for decisions to approve. Assist with addressing data or analysis inquiries.
Communicate clearly both written and verbally to present complex information in a way that's easy for others to understand.
Critically think through the requested issues and develop efficient strategies
Meticulous attention to detail to correctly interpret financial data and make accurate predictions.
Analyze financial performance through analysis of financial results, actual, variances, and trends.
Create recommendations to be presented to management and executives
Develop financial models to support data trending and forecasting.
Requirements:
Bachelor's degree (Statistics, Accounting , Finance or Economics) from four-year college or university
1 year business experience and/or training; Excel advance experience is required.
Function:
Finance
Publish in Internal Career Page:
No
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