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Project Details

Consultant - Financial Analyst

A Customer Loyalty and Monetization company

 Mumbai / Navi Mumbai

Posted on:  6/07/2023

Cinque Terre

Starts on:  20/07/2023

BROAD CATEGORY

Finance

SUB CATEGORY

Financial planning and analysis, Data analytics, Credit and risk analysis, Equity research and analysis,

INDUSTRY

Professional Services - Consulting

Company Details

Help monetize customers profitably by delivering enhanced value to customers & businesses. Designed, developed and scaled 100+ loyalty programs of significance across 80+ countries.

Assignment Details

Our client, a customer loyalty and monetization company is seeking a highly skilled and motivated finance manager to join their team.

Key Responsibilities:
• Collaborate with cross-functional teams to develop comprehensive business models and business plans that align with strategic goals and objectives.
• Prepare dynamic financial models that can be updated in real-time based on the latest information and market conditions.
• Collaborate with internal stakeholders to assess the financial impact of new projects, initiatives, or investments.
• Assist in forecasting cash flows, analyzing financial data, and providing recommendations for optimizing financial performance.
• Monitor and manage day-to-day finances, including processing payments, reconciling accounts, and maintaining accurate financial records.
• Ensure compliance with applicable regulatory requirements, such as TDS, GST, and other tax and financial regulations.
• Generate timely and accurate monthly reports, including income statements, balance sheets, and cash flow statements, to provide insights into the company's financial position.
• Conduct financial analysis to identify trends, risks, and opportunities for improvement, and present findings to management.
• Stay updated with changes in financial regulations, tax laws, and industry best practices to ensure compliance and provide expert advice to management.
• Support ad-hoc financial analysis and projects as required.

Skills Required

• Proven experience (3 - 5 years) in financial analysis, business modelling, and cash flow management.
• Strong proficiency in financial modeling software, spreadsheet applications (e.g., Excel), and accounting software.
• Excellent analytical skills with the ability to interpret financial data, identify trends, and make data-driven recommendations.
• Detail-oriented with strong organizational and time management skills to meet deadlines in a fast-paced environment.
• Exceptional communication skills, both verbal and written, with the ability to present complex financial information in a clear and concise manner.
• Ability to work collaboratively in cross-functional teams and build effective relationships with internal stakeholders.
• Strong problem-solving skills and the ability to think critically and strategically.
• Solid understanding of regulatory requirements, tax laws, and financial compliance.
• High level of integrity and ethical standards.

Assignment Duration

6 month(s)

Capacity Required

Full Time

No. of Positions

1

Nature of Work

Remote

Profile Requirements

Experience: 3+ years

Qualification : Graduate

fleXpertise required

Business Analytics(R+SAS)Finance controllershipBudgeting & CostingOperational FinanceCost MonitoringCash Flow ManagementCredit Risk ManagementBusiness and finance writingAccounts Receivables ManagementBenchmarking Financial reportingCredit AnalysisFinancial Modeling & ValuationCorporate TaxationAccounts Payables

ESTIMATED BUDGET

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