KEY RESPONSIBILITIES
- Prepare projects and financial models and develop the calculation methodology
- Prepare and update company’s financial and economic models and evaluate business scenarios
- Control budget execution at all levels: contract, project, business unit, branch, reporting to management
- Timesheets control and utilization forecast
- Take part in month close process, generate plan/actual analytical reports and investigate deviations
- Control over the correctness of costs allocation, including intercompany
- Prepare cash flow and collections forecast
- Management accounts analysis and control
- Participation in preparation of the Business Plan and Budget
- Participation in internal and external audit of the company in accordance with IFRS
- Financial analysis and processing of ad-hoc requests
- Day to day collaboration with HQ finance team
REQUIRED EXPERIENCE AND SKILLS
- min 2-3+ years experience in Finance as Finance Manager, Finance Analyst, Financial Controller or Accountant in multinational company is a must
- Mastery in Excel, knowledge of Tableau is an advantage
- Strong analytical capability
- Fluent English
- Business-driven mindset
- Result oriented approach, ability to work independently and try different approaches
- Strong communication & influencing skills
- Have experience in building budget models and project models from scratch using Excel with different levels of consolidation (projects/business units/legal entity)
- Know how to visualize the results of calculations and analyses in PowerPoint or other software
- Good understanding of IFRS policies and principles
- Have experience in accounting will be an advantage
- Knowledge of transfer pricing principals is an advantage
- Graduate from the top tier university with specialization in a relevant field (economics, finance).
- ACCA or CIMA is a plus
BENEFITS OF WORKING FOR A&M
- Competitive salary and bonus for outstanding results
- Benefits package including health and life insurance
- Continued learning and growth opportunities