کارشناس ارشد خزانه‌داری گروه

شرکت کوبل دارو تهران

منتشر شده 1 ماه پیش

Job Description

  • Prepare cash flow forecasts and financial models to support strategic decision-making.
  • Collaborate with Budget and Controlling teams to align treasury activities with overall business goals.
  • Generate and present regular reports on cash position, liquidity, and treasury performance to senior management.
  • Analyze variances and recommend corrective actions as needed.
  • Oversee treasury functions, including cash management, foreign exchange, and investments.
  • Identify, assess, and manage financial risks related to foreign exchange, interest rates, and counterparty exposures.
  • Provide treasury ad-hoc reports.

Requirements:

  • At least a Bachelor's degree in Accounting, or Finance.
  • At least 5 years of relevant experience in corporate finance, financial planning, and analysis, investment banking, or other related fields.
  • Excellent analytical, decision-making, and problem-solving skills.
  • Excellent communication skills.
  • Strong working knowledge of Excel.
  • Advanced knowledge of data science, Financial Planning, and Analysis (FP&A), and also treasury management systems.
  • Understanding of accounting principles and financial regulations.

Employment Type

  • Full Time

Details

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