Closing: Mar 6, 2023
This position has expiredPublished: Feb 27, 2023 (31 days ago)
Job Requirements
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Job Summary
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Education
- First degree in Accounting, Finance or related disciplines
- MBA will be an added advantage
Experience:
- Minimum of 5 years proven working experience as a Financial Analyst.
- Experience in forex management for business operations
- Experience with statistical analysis and financial forecasting
- Abreast of industry updates
Professional Membership:
- ACA, ACCA or CFA - any of these is preferred.
Knowledge & Skills:
The incumbent must have proficient knowledge in the following areas:
- Corporate Finance
- Financial Planning & Strategy
- Cost Accounting
- Forex Management
- Capex Management
- Financial Modelling & valuation
- Understanding of moderately complex Accounting Concepts and Generally Accepted Accounting Principles (GAAP) and IFRS
- Financial Budgeting and Forecasting
- Knowledge of ERP tools used to store, retrieve, and analyse financial information
- Attention to detail and the ability to identify financial data patterns
- Excellent client-facing and internal communication skills
- Excellent written and verbal communication skills
- Solid organizational and multi-tasking skills.
How to Apply
Interested and qualified candidates should send their updated CV using "Financial Analyst" as the subject of the email.
Responsibilities
Education
- First degree in Accounting, Finance or related disciplines
- MBA will be an added advantage
Experience:
- Minimum of 5 years proven working experience as a Financial Analyst.
- Experience in forex management for business operations
- Experience with statistical analysis and financial forecasting
- Abreast of industry updates
Professional Membership:
- ACA, ACCA or CFA - any of these is preferred.
Knowledge & Skills:
The incumbent must have proficient knowledge in the following areas:
- Corporate Finance
- Financial Planning & Strategy
- Cost Accounting
- Forex Management
- Capex Management
- Financial Modelling & valuation
- Understanding of moderately complex Accounting Concepts and Generally Accepted Accounting Principles (GAAP) and IFRS
- Financial Budgeting and Forecasting
- Knowledge of ERP tools used to store, retrieve, and analyse financial information
- Attention to detail and the ability to identify financial data patterns
- Excellent client-facing and internal communication skills
- Excellent written and verbal communication skills
- Solid organizational and multi-tasking skills.
How to Apply
Interested and qualified candidates should send their updated CV using "Financial Analyst" as the subject of the email.
- Develop and implement financial analysis and evaluation with respect to:
- Cash flow projections
- Monthly revenue and customer billings
- Growth and profitability analysis & reporting
- Liquidity & Efficiency of the business
- Manage customer/deal financial risk, ensuring that deal with any customer does not lead to the non-payments.
- Monitor company credit with OEM up to customer levels and ensure we meet credit terms per customer.
- Recurrent billing data base: ensuring 90-day billing before expiration of 2nd and 3rd year billings and 6months for renewals.
- Track all Azure billings and activate these billings for customers when they are due.
- Track other sources of business revenues and ensure zero gaps in revenue collections.
- Provide financial expertise that will continually reduce the business exposure to the forex volatility.
- Analyse business operations, trends, costs, revenues, financial commitments, and obligations to project future revenues and expenses.
- Prepare reports of audit findings, outlining discrepancies and recommending corrective actions to be taken.
- Evaluate business proposals, commercial transactions (local & foreign) and determine funding needs and sources.
- Generate and interpret the monthly financial reports of the business for management’s decision making.
- Develop financial initiatives and policies that may improve financial growth of the business.
- Assist the business leads with their planning and budgeting process.
- Provide all budget holders in Cloudsa with up-to-date information in relation to their budgets. Continually provide visibility on budgeted spends against actuals.
- Perform periodic reconciliation of account receivables, checking and ensuring the submission of approved invoices on due dates
- Recommend financial actions by analyzing and interpreting financial data and making comparative analyses, studying proposed changes in methods and processes.
- Provide general customer service by attending to any related queries or requests on quotes, purchase orders, etc.
- Perform any other tasks that may be assigned from time to time.

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