Job summary
Job category | Professional (Consulting / Finance / Real Estate / Professional Services)/Consulting |
---|---|
Industry | Other/ |
Employment type | Uncategorized |
Position level | Other |
Number of openings | 1 |
Desired entry time | - |
Required language skill |
English (Fluent) |
Foreign language competence | - |
Working hours | Others |
Welfares / Leave systems |
Work details
<Job Responsibilities>
1. Work on financial planning, analysis, budgeting, and forecasting for acquired companies
2. Conduct variance analysis to improve the business performance of acquired companies
3. Develop and maintain complex financial models to support decision-making regarding M&A, strategic initiatives, capital investments, and growth opportunities
4. Provide analytical support for mergers, acquisitions, and other business initiatives
5. Collaborate with different departments to gather financial data and insights, ensuring accurate financial reporting and reliable forecasting
6. Monitor industry trends, economic conditions, and competitive landscape to assess potential impacts on the company's financial performance
7. Improve financial status by analyzing results and variances, identifying trends, and recommending actions
8. Other tasks associated with M&A, strategic investment, as well as Financial Planning & Analysis
<Necessary Skill / Experience >
・Bachelor degree - Finance, Accounting, and business-related
・Gender: Any
・Age: 30- 45 years old
・Language: English Upper Business level (for internal and use in meetings)
・Experience:
- Having 8-10 years of working experience in Financial Planning & Analysis, internal control, internal audit, or related fields
-Having working experience in a middle-sized or large-sized foreign company
・Others: Having can-do attitude and working independently
About interview