Roles & Responsibilities
• Conduct financial analysis and modeling for new projects, including cash flow projections, risk analysis, and return on investment calculations.
• Prepare economic and financial feasibility studies for the current investment and future opportunities.
• Prepare detailed financial reports, including variance analysis and commentary, to support business decisions.
• Maintain and monitor financial models and databases, ensuring accuracy and consistency of data.
• Create and update a tracker to monitor the payments received and the dues from investors.
• Prepare the financial statements, annual budgets and forecasting reports.
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