Responsibilities - Analyzing complex financial data to support corporate finance and treasury operations - Developing and implementing financial strategies to optimize capital structure and cash flow - Conducting financial modeling and forecasting to inform strategic planning and decision-making - Monitoring and analyzing financial trends to provide insights for investor presentations and reports - Managing budgetary processes and capital budgeting to align with organizational goals - Supporting compliance with accounting and financial reporting standards - Collaborating with teams to enhance financial risk management and treasury management practices - Presenting financial reports and recommendations to stakeholders for informed decision-making - Utilizing analytical thinking to assess financial needs and develop targeted solutions - Engaging in commodities analysis to support financial strategy and market trend evaluation What You Must Have - Bachelor's degree - At least 3 years of experience in Consultancy Finance or Treasury - Oral and written proficiency in English required What Sets You Apart - Demonstrating proficiency in Accounting and Financial Reporting Standards - Utilizing analytical thinking for complex financial problem-solving - Managing cash flow forecasting and capital budgeting effectively - Excelling in financial modeling and strategic planning - Presenting financial reports with clarity and precision - Embracing change and demonstrating learning agility - Monitoring and analyzing financial trends for informed decision-making