Provide forecasting, reporting, analysis, and project support to Management
Prepare and present financial model and annual cash budget for Philippine operations
Prepare analyses, financial feasibility models, scenario analyses and presentations for new
projects
Operationalize the company-wide financial model for performance tracking and cash flow
management
Prepare financial reports and provide analysis on budget variances and expense trends
Facilitate vendor payments, manage disbursement accounts and all associated activities
Manage records for all management entities and create records of all cash flows and forecasts
Maintain knowledge and keep abreast of new investment regulations and/or policies
Qualifications:
Bachelor's degree in Finance, Accounting, or related field; CPA is preferred but not required
At least 5 years experience working at financial institutions such investment banks, private
equity, securities companies, consulting, CPA firms, or asset management
Advanced cash flow modeling experience
Must be expertise in valuation, discounted cash flow models (DCF) and financial forecasting
Working knowledge of the technical aspects of the industry
Must have strong working knowledge of Excel
Must have strong attention to detail and accuracy
Job Type: Full-time
Benefits:
Schedule:
Supplemental pay types:
Experience:
* financial: 5 years (Required)