Prepare industry analysis to support business strategy formulation together with consolidate business target and financial budget plan.
Develop financial model and provide comprehensive financial analysis to support the Management in making financial and business decision
Prepare and monitor business performance by providing business performance and financial analysis reports to the management to ensure the achievement of strategic and business goals.
Monitor and control financial budget and expenditures according to annual budget plan.
Qualification
Master's Degree in Finance & Accounting, Business Administration, Economics.
Minimum 3-5 year experience in finance and accounting, financial analysis, financial modeling, strategy development, management reports.
Working experience in banking or financial industry is preferred.
Literacy in Microsoft Excel in intermediate or advance level.