Vị trí công việc này hiện tại đã hết hạn nộp hồ sơ, bạn có thể tham khảo thêm một số công việc tương tự tại đây:
Mô tả công việc
• Creating, updating, and maintaining financial models of current & potential projects.
• Consolidating all project financial models monthly to control Group financial performance.
• Preparing and updating project cash flow forecast, to balance future cash flow of the group and ensure that cash are enough for M&A activities, project construction, operating cash.
• Comparing historical results against budgets and forecasts and performing variance analysis to explain differences in performance and make improvements going forward.
• Preparing internal management reports for executive leadership and supporting their decision making
• Controlling loan drawdown & financial covenants related
• Monitoring KPI of each department and the Company
• Working with individual departments to prepare budgets and consolidate them into one overall corporate budget.
• Supporting other team in capital mobilization and M&A
• Other tasks assigned by FP&A Manager.
Yêu cầu
• Education: Degree in Accounting or Finance
• Experience: at least 5 years relevant experience
• Experienced in real estate company, Big 4 firms is preferred
• Excellent financial modelling skills
• High proficient in creating good powerpoint presentations
• Strong proficiency in spoken and written English
• Highly analytical and good at problem solving
• Ability to work effectively within a team and independently.
Quyền lợi
Attractive Yearly Bonus (Performance Bonus)
Health insurance for employees and family members
Annual Health Check for all employees
Thông tin khác
Ngày Đăng Tuyển
30/06/2023
Cấp Bậc
Nhân viên
Ngành Nghề
Kế toán, Kiểm toán, Tài chính/Đầu tư
Kỹ Năng
Financial Analysis, Costing, Accounting, Finance, Cash Planning
Ngôn Ngữ Trình Bày Hồ Sơ
Bất kỳ
Thông tin chung
- Ngày hết hạn: 30/07/2023
- Thu nhập: Thương lượng