Analyze financial data and provide forecasting support
Organize data into accessible reports and perform various types of analysis using key metrics such as yearly growth, return on assets, return on equity and earnings per share
Review all non-legal pertinent information about prospective deals
Oversee financial functions, such as assessing, auditing, planning, budgeting, taxes, consolidation, cost control and project control
Evaluate and analyze capital expenditures, depreciation, proposals, investment opportunities, rate of return, profit plans, operating records, financial statements, etc.
Study a company’s financial data to give advice for guiding business investments and overall financial strategy.
Analyze current and past financial data and performance
Prepare reports and projections based on analysis
Evaluate current capital expenditures and depreciation
Explore investment opportunities
Establish and evaluate profit plans
Identify trends in financial performance and provide recommendations for improvement
Coordinate with other members of the finance team to review financial information and forecasts
Provide financial models and forecasting
Must have good knowledge with Financial Change orders, Change Requests, SOWs and MSAs
Must be able to work on SharePoint and upload required data along with formulas to SharePoint.
Must be excel expert and good understanding of macros and reporting/presentation skills
Great computer skills and knowledge of PMO software tools, such as Office365 suite, advanced excel, SharePoint, JIRA, PPM etc.
Experience:
Minimum experience of 5+ years in any financial or insurance organization.
Must hold a bachelor's degree and should have experience with accounting and financial data management.
Good critical thinking and problem-solving skills.
Solid communication and interpersonal skills.
Ability to thrive in a fast-paced environment and work well under pressure.