Description
Job Summary:
A finance professional with experience in budgeting, financial reporting, and treasury management, focused on analysis and teamwork.
Key Highlights:
1. Support in budget preparation, forecasting, and variance analysis
2. Preparation and monitoring of KPIs and financial reports
3. Treasury management and support for monthly/annual closing
**Key Responsibilities:**
Support in budget and forecast preparation and related variance analysis;
Preparation and monitoring of KPIs;
Preparation of operational and financial reports;
Treasury management;
Support for monthly and annual closing;
Analysis of current accounts;
**Profile:**
Higher education degree in Management, Finance, Accounting, or related fields;
Minimum of 1 year of professional experience in similar roles (preferred);
Advanced knowledge of Excel and Power BI (preferred);
Strong analytical skills;
Accounting knowledge (preferred);
Strong interpersonal skills and ability to work effectively in a team.