For our client-Real Estate company, we are looking for a candidate for the
Responsibilities:
- provide information to management by assembling and summarizing data, preparing reports, presentation of analysis,
- analysis and review budget,
- support in preparation budget forecast,
- preparation for monthly or quarterly reporting of cash flow, tax, CAPEX of allocated companies,
- provide financial analysis including variance, projections, and trend analysis,
- perform ad-hoc data analysis, as well as, develop and maintain financial models,
- responsibility for audit (statutory, management) of allocated corporate companies.
Requirements:
- university degree with Finance, Accounting or Controlling qualification, or business equivalent,
- 2- 3 years prior experience in a similar position, or in the audit department,
- knowledge of statutory accounting principles is a must,
- knowledge of IFRS is an advantage,
- fluency in English is mandatory,
- perform ad-hoc data analysis, as well as, develop and maintain financial models,
- ability to collect and analyze large data sets to support client profitability analysis,
- willingness to work in a multicultural environment.
The offer:
- direct access to clients, information and experts across all business areas around the world,
- develop a career in the stable, international company,
- high-quality benefits program emphasizing good health and financial security.