Reading and analyzing the financial lists and converting them into ratios (solicitation, debt, profitability, efficiency, IRR, Cost & revenue assumption,)
Analysis of financial results and preparation of financial models to assist decision-making
Doing market research to find out what's going on.
Financial reporting to management
Project study
Analysis and costing of operations and projects through data collection
Risk assessment and analysis and alternative solutions
Data collection
Qualifications
Minimum 2 years experience in finance
General knowledge of the economy (GDP, CPI, monetary and fiscal policies, inflation and interest rates)
Specialized knowledge of financial studies and indicators (cash flows, liquidity, risk, financial ratios)
General knowledge of financial and investment markets (debt instruments, investment funds, alternative investment)
Reading the financial and economic situation and concluding the evidence and its implications
The ability to use Microsoft Office professionally
Bachelor's degree in finance, accounting, or economics