Offre d`emploi Responsable financier chez CONFIDENTIEL à Rabat
Emploi Plein temps
23 déc. 2021 à 17h31
Autre
Rabat
28 vues
Offre d`emploi Responsable financier chez CONFIDENTIEL à Rabat
Emploi Plein temps
Détails de l'annonce
About The Job
This position offers the opportunity to provide critical business intelligence that empowers senior management to make sound decisions. By way of first class management reporting, diligent analyses, and strategic modeling, the Finance team delivers timely results and encourages open discussion and creative solutions to improve the quality of our work as the business grows. This position plays a vital role in achieving these goals, and the incumbent should have an entrepreneurial drive, be able to interact with a variety of people, develop and maintain complex models, demonstrate flexibility, and meet rapid deadlines.
What Youll Do
Build financial models that will enable senior leadership to make effective decisions about the companys cost base and revenue projections
Present, analyze, and interpret relevant financial data to senior leadership - partnering closely with key leaders to impact strategic business decisions
Work on a variety of special projects that may include financings, new business initiatives, M&A, etc.
Partner with key business areas to perform strategic analysis and modeling to help inform department specific spending and decisions
Analyze competitor performance and market trends
Write commentary that adds value and draws attention to key issues and/or perspectives
Establish and report key operating metrics used to drive the business to greater efficiency
Assisting in the upgrade of reporting standards through the pursuit of continuous process improvement and liaison with the various business departments
Preparing and delivering daily, weekly and monthly management reports to key constituents
Functioning effectively in an especially fast-paced start-up operating environment, managing time effectively to address high priority items in a timely manner
Assisting in preparation of materials for Board of Director meetings
Own budgeting process including annual review and analysis, assigning department specific budgets, and tracking monthly/quarterly actuals vs. budget
Profit and Loss
About You
You have a bachelor's Degree in Business, Finance, Accounting or Statistics
You have 3+ years of finance and/or strategic analysis experience
You have experience working in investment banking, M&A, FP&A, or corporate finance
You have entrepreneurial drive, excellent communication and interpersonal skills with demonstrated ability to work in a fast paced and dynamic environment
You are proficient in financial analysis and model building
You have experience utilizing various valuation methodologies including discounted cash flow, P/E, EV/EBITDA, and SOTP analysis
You have a strong attention to detail
Experience with SAGE
Fluent in Written and Spoken English
This position offers the opportunity to provide critical business intelligence that empowers senior management to make sound decisions. By way of first class management reporting, diligent analyses, and strategic modeling, the Finance team delivers timely results and encourages open discussion and creative solutions to improve the quality of our work as the business grows. This position plays a vital role in achieving these goals, and the incumbent should have an entrepreneurial drive, be able to interact with a variety of people, develop and maintain complex models, demonstrate flexibility, and meet rapid deadlines.
What Youll Do
Build financial models that will enable senior leadership to make effective decisions about the companys cost base and revenue projections
Present, analyze, and interpret relevant financial data to senior leadership - partnering closely with key leaders to impact strategic business decisions
Work on a variety of special projects that may include financings, new business initiatives, M&A, etc.
Partner with key business areas to perform strategic analysis and modeling to help inform department specific spending and decisions
Analyze competitor performance and market trends
Write commentary that adds value and draws attention to key issues and/or perspectives
Establish and report key operating metrics used to drive the business to greater efficiency
Assisting in the upgrade of reporting standards through the pursuit of continuous process improvement and liaison with the various business departments
Preparing and delivering daily, weekly and monthly management reports to key constituents
Functioning effectively in an especially fast-paced start-up operating environment, managing time effectively to address high priority items in a timely manner
Assisting in preparation of materials for Board of Director meetings
Own budgeting process including annual review and analysis, assigning department specific budgets, and tracking monthly/quarterly actuals vs. budget
Profit and Loss
About You
You have a bachelor's Degree in Business, Finance, Accounting or Statistics
You have 3+ years of finance and/or strategic analysis experience
You have experience working in investment banking, M&A, FP&A, or corporate finance
You have entrepreneurial drive, excellent communication and interpersonal skills with demonstrated ability to work in a fast paced and dynamic environment
You are proficient in financial analysis and model building
You have experience utilizing various valuation methodologies including discounted cash flow, P/E, EV/EBITDA, and SOTP analysis
You have a strong attention to detail
Experience with SAGE
Fluent in Written and Spoken English