Offer summary
Qualifications:
Proficient in Google Spreadsheets and Excel, Experience analyzing PL, Balance Sheet, Cash Flow statements, Strong analytical skills for data-driven decisions, Familiar with financial modeling and reporting, Excellent communication for presenting findings.
Key responsabilities:
- Develop and maintain financial models
- Analyze Profit and Loss statements
- Assess economic impacts of strategies
- Report financial insights for decision-making
- Collaborate across departments on financial accuracy