Senior Finance Analyst
Responsible for executing the budget, forecast, management reporting and cash flow analysis. Responsible for preparing the detailed variance analysis and capture explanations for variances.
Key Responsibilities:
- Analyze complex financial data and extracts and defines relevant information; interprets data for the purpose of determining past financial performance and/or to project a financial probability.
- Execute the planning and budgeting activities and develop financial reports for forecasting, trending, and results analysis.
- Prepare Monthly / Quarterly / Annual financial reporting packs along with variance analysis
- Provide oversight for the internal cost budgets, ensuring that expenses are in line with approved budgets
- Challenge the Operations team on forecast inputs and review variances with clear explanations
- Support the weekly cash flow forecast and perform variance analysis
- Ensure forecast and budgets are loaded on Oracle Planning Module and are reconciled
- Oversee the supervision of personnel, which includes work allocation, training, and problem resolution; evaluate performance and make recommendations for personnel actions; motivate employees to achieve peak productivity and performances
- Performs any other duties as and when required by the supervisor.
Requirements
- Post qualification degree in accounting (preferably Chartered Accountant)
- Significant previous experience out of which five years in similar position in large organizations
- Good working knowledge of Microsoft, including Excel, is critical
- Understanding of financial impact of actions and active stakeholder engagement
- Good communication skills – verbal, written; good presentation skills
- Excellent analytical skills, and ability to think on feet / identify salient points
- Capacity to challenge assumptions and come up with innovative solutions
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