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Financial Analyst - Manager

Salary undisclosed

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Job Responsibilities:

Financial Planning & Analysis:

  • Conduct detailed financial analysis, including forecasts, budgets, and long-range financial plans.
  • Monitor financial performance against targets and provide variance analysis with actionable insights.
  • Identify opportunities for improving profitability, cost management, and financial efficiency.

Taxation Compliance & Planning:

  • Ensure compliance with tax laws and regulations, including corporate taxes and other relevant taxes.
  • Assist in tax filings, audits, and collaborate with external tax advisors to optimize tax strategies.
  • Develop tax-efficient strategies for corporate planning.

Banking & Treasury Management:

  • Manage relationships with banking institutions and oversee treasury functions, including cash flow and liquidity management.
  • Analyze and optimize banking transactions, loans, and investment decisions.

Business Analysis:

  • Conduct business process reviews, analyzing current workflows, and identifying inefficiencies or opportunities for improvement.
  • Gather and analyze business requirements to support financial and operational strategies.
  • Collaborate with cross-functional teams to implement solutions that drive business growth and streamline operations.

Financial Reporting & Modeling:

  • Prepare financial reports, including P&L, balance sheet, and cash flow, and present insights to senior management.
  • Build and maintain detailed financial models to forecast business scenarios and support decision-making.
  • Assist in cost-benefit analysis and ROI assessment for business projects and investments.

Budgeting & Forecasting:

  • Develop and manage the budgeting process, working closely with business units to align financial goals with operational targets.
  • Provide rolling forecasts and scenario planning for various business initiatives.

Risk Management & Compliance:

  • Ensure financial and operational compliance with industry regulations and tax laws.
  • Conduct risk assessments, propose mitigation strategies, and oversee internal controls across finance and business operations.

Stakeholder Collaboration:

  • Work closely with internal teams, including finance, operations, IT, and audit, to align business and financial strategies.
  • Support management with data-driven recommendations for business process improvements, operational efficiency, and financial optimization.

Ad-hoc Tasks:

  • Handle other tasks and assignments as required.

Job Requirements:

  • Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field with Professional qualifications such as ACCA, MIA, CIMA, CPA, or equivalent is required for this role.
  • Minimum of 3 years of experience as a Business or Financial Analyst in the audit or banking sector.
  • Strong proficiency in Excel financial modeling (complex formulas, pivot tables, data analysis, macros, scenario planning).
  • Excellent analytical skills with a proven ability to interpret and synthesize complex financial data.
  • Skilled in preparing and presenting financial data, with a focus on clear, data-driven and professional report creation.
  • Familiarity with financial software and tools and data visualization techniques.
  • Strong understanding of accounting standards and financial regulations.