- Develop and maintain comprehensive financial forecasts budgets and rolling forecasts to support strategic planning.
- Conduct in-depth variance analysis and root cause investigations to identify trends risks and opportunities.
- Prepare detailed management reports and presentations for senior leadership including KPI dashboards and performance summaries.
- Collaborate with business units to understand operational drivers and translate business objectives into financial plans.
- Build and refine financial models to support scenario planning capital allocation and investment decisions.
- Monitor financial performance against targets and provide timely insights to drive corrective actions.
- Support the annual budgeting and forecasting cycle ensuring alignment with corporate goals and regulatory standards.
- Partner with Finance Operations and Sales teams to enhance data accuracy and improve financial reporting processes.
- Stay abreast of industry trends regulatory changes and economic factors impacting financial performance.
Requirements
- Bachelors degree in Finance Accounting Economics or a related field; CPA CFA or CMA certification is a plus.
- 25 years of experience in Financial Planning & Analysis within the financial services or related industry.
- Proficiency in advanced Excel with strong knowledge of financial modeling and data visualization tools (e.g. Power BI Tableau).
- Demonstrated experience with ERP systems such as SAP Oracle or similar financial platforms.
- Excellent analytical problem-solving and critical thinking skills with a high level of attention to detail.
- Strong communication and presentation skills with the ability to convey complex financial information to non-financial stakeholders.
- Ability to work independently and collaboratively in a fast-paced deadline-driven environment.
- Experience with budgeting forecasting and variance analysis in a corporate or institutional setting.
Required Skills:
Qualification: MBA/PGDM from reputed B-school. Experience: 20 years in corporate sales institutional leasing or real estate investment. Requirements: Proven success in closing large deals and strong industry networks. Remuneration will be commensurate with qualifications and experience.
Required Education:
MBA/ PGDM
Develop and maintain comprehensive financial forecasts budgets and rolling forecasts to support strategic planning.Conduct in-depth variance analysis and root cause investigations to identify trends risks and opportunities.Prepare detailed management reports and presentations for senior leadership i...
- Develop and maintain comprehensive financial forecasts budgets and rolling forecasts to support strategic planning.
- Conduct in-depth variance analysis and root cause investigations to identify trends risks and opportunities.
- Prepare detailed management reports and presentations for senior leadership including KPI dashboards and performance summaries.
- Collaborate with business units to understand operational drivers and translate business objectives into financial plans.
- Build and refine financial models to support scenario planning capital allocation and investment decisions.
- Monitor financial performance against targets and provide timely insights to drive corrective actions.
- Support the annual budgeting and forecasting cycle ensuring alignment with corporate goals and regulatory standards.
- Partner with Finance Operations and Sales teams to enhance data accuracy and improve financial reporting processes.
- Stay abreast of industry trends regulatory changes and economic factors impacting financial performance.
Requirements
- Bachelors degree in Finance Accounting Economics or a related field; CPA CFA or CMA certification is a plus.
- 25 years of experience in Financial Planning & Analysis within the financial services or related industry.
- Proficiency in advanced Excel with strong knowledge of financial modeling and data visualization tools (e.g. Power BI Tableau).
- Demonstrated experience with ERP systems such as SAP Oracle or similar financial platforms.
- Excellent analytical problem-solving and critical thinking skills with a high level of attention to detail.
- Strong communication and presentation skills with the ability to convey complex financial information to non-financial stakeholders.
- Ability to work independently and collaboratively in a fast-paced deadline-driven environment.
- Experience with budgeting forecasting and variance analysis in a corporate or institutional setting.
Required Skills:
Qualification: MBA/PGDM from reputed B-school. Experience: 20 years in corporate sales institutional leasing or real estate investment. Requirements: Proven success in closing large deals and strong industry networks. Remuneration will be commensurate with qualifications and experience.
Required Education:
MBA/ PGDM
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