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Job Description:
o Conduct cashflow analysis on the different Business Units of the Group
o Assist in establishing and regularly monitor parameters/metrics for Liquidity tracking
o Develop and implement planning metrices and strategies to manage liquidity risks for the Group
o Monitor and understand macro and competitive factors affecting the business
o Proactively liaise and regularly dialogue with various business units to gather data and inputs for analysis, develop and execute liquidity planning measures and processes
o Assist in socializing observations with management (including the business units)
Key Qualifications:
• 10 years of experience in financial planning and analysis
• Good communication and presentation skills
• Strong analytical skills
• Highly numerate
• Detail oriented and meticulous with numbers/data
• Good excel modeling skills
• College degree in Accounting, preferably CPA
Job ID: 146610401