About the Role
Key Responsibilities:
- Prepare and analyze financial statements including P&L, Balance Sheet, and Cash Flow statements
- Develop financial projections, budgeting, and scenario analysis models
- Conduct variance analysis and support management decision-making
- Build and maintain financial models for forecasting and strategic planning
- Prepare executive-level presentations and dashboards for management review
- Work closely with cross-functional teams to ensure financial accuracy and compliance
- Utilise SAP for financial reporting and data management
Required Skills & Competencies:
- Strong proficiency in Microsoft Excel (Pivot Tables, VLOOKUP, advanced formulas, financial modelling)
- Hands-on experience in preparing and analysing financial statements
- Expertise in financial forecasting and scenario planning <...
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