Analyse financial data to identify trends, key drivers, risk and opportunities that impact business performance.
Partner with business units (e.g., Sales, Aftersales, Marketing, Corporate Services) to gather financial inputs, understand operational drivers, and provide analytical support.
Develop and maintain financial models to support planning and decision-making.
Prepare dashboards, reports, and presentations for internal stakeholders and leadership.
Apply Trade Finance and Hire Purchase (HP) applications.
Manage board resolutions and minutes for finance-related matters.
Execution of foreign exchange (FX) hedging activities.
Support treasury reporting and cash flow compilation.
Assist with ad-hoc analysis and respond to requests from finance team or business leaders.
Requirements
Degree in Finance, Business or Accounting is required.
Strong foundation in treasury functions (cash flow forecasting, FX risk management, trade finance) with exposure through internships, projects, or up to 1-2 years experience
Analytical and meticulous
Possess good communication and interpersonal skills.
Possess good quantitatives skills, have basic financial modelling and advanced working knowledge in MS Excel.
Driven, independent individual who adapts well in a fast-paced environment
Strong knowledge in investment portfolio strategy, banking, and financial instruments