A well-known and well-reputed Company based in Dubai, United Arab Emirates is looking for an experienced, skilled, competent, mature, capable, efficient, qualified, creative, and intelligent candidate with significant competency, good knowledge, and relevant working experience for the position of “Financial Analyst”.
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Company Name | Future Pipe Industries |
Job Requirements and Benefits:-
Qualification | Masters Degree | Bachelors Degree | CPA | ACCA | CFA |
Experience | 8 – 10 years of Relevant Experience Required |
Monthly Salary | 18,000 AED — 20,000 AED |
Employment Type | Part Time | Permanent |
Company Size | 100 – 500 Employees |
Benefits | Medical Insurance | Performance-based Increments |
Location | Dubai |
About the job
Role Overview: The Financial Business Analyst will play a crucial role in providing advanced financial and business analysis to support strategic decision-making within the organization. This position involves designing and presenting complex financial models to senior management, monitoring expenses, recommending cost-saving initiatives, analyzing ad-hoc requests from management, examining financial Key Performance Indicators (KPIs), and evaluating deviations from the budget
Key Responsibilities:
1. Monthly Business and Financial Analysis
a. Conduct thorough reviews of monthly business and financial reports
b. Review financial results of all company operating units. Analyze the financial statements, margin analysis, overall review of revenue quality and revenue mix, and key performance ratios
c. Conduct variance analysis, explain deviations, and provide suggestions and financial data to develop mitigation plans
d. Identify potential risk drivers and recommend mitigation plans
e. Analyze ad-hoc requests related to the overall business and provide comprehensive reports, insights, and recommendations based on the analysis conducted.
2. Expense Monitoring and Cost Savings Initiatives
a. Monitor and analyze SG&A expenses, COGS expenses, and working capital across global operations
b. Identify, analyze, and recommend savings initiatives for SGA and production expenses, including considerations for production relocation and offshoring of support functions
3. Risk Assessment and Mitigation Plans
a. Conduct comprehensive risk assessments to identify potential financial, operational, and market risks affecting the organization’s performance
b. Carry out sensitivity analysis to assess the financial exposure of the company to dynamic macro-environmental conditions
c. Develop and recommend mitigation strategies and contingency plans to proactively address identified risks
d. Monitor the implementation of risk mitigation initiatives and provide ongoing evaluation of their effectiveness
4. Financial Forecasting and Scenario Analysis
a. Develop comprehensive financial forecasts, incorporating multiple scenarios and assumptions to reflect a range of potential outcomes
b. Conduct sensitivity analysis to assess the impact of various economic and market factors on financial performance and key metrics
c. Provide strategic recommendations based on scenario analysis to guide decision-making and risk
5. Cash Flow and Working Capital Analysis
a. Analyze cash flow statements to analyze cash drivers and liquidity for day-to-day operations and strategic initiatives
b. Collaborate with treasury, operations, and finance teams to analyze company working capital, including trends, forecasts, and risks
6. Financial Modelling and Valuation
a. Design and present complex financial models to senior management for critical strategic decisions
b. Support the evaluation of potential mergers, acquisitions, and divestitures by conducting financial due diligence and valuation analyses
c. Collaborate with cross-functional teams to assess strategic fit, synergies, and integration plans for potential transactions
d. Provide financial expertise in negotiations and structuring of M&A deals to optimize value creation
7. Market Research and Benchmarking
a. Conduct market research and benchmarking exercises to provide context for financial performance
Qualifications:
- Bachelor’s degree in Finance, Accounting, or related field. (Master’s degree preferred)
- 10 years of experience in accounting or corporate finance
- Proficient in financial modelling, data analysis, and reporting tools/software
- Strong understanding of accounting principles and financial reporting standards
- Excellent communication and presentation skills
- Ability to work independently and collaboratively in a team-oriented environment
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