- Research industryspecific financial developments including broad economic trends and business trends
- Analyze financial statements to evaluate investment opportunities
- Create financial modeling for investors to find profitable investments
- Recommend individual investments and collections of investments
- Assess the performance of stocks other types of investments and bonds
- Translate financial data into detailed presentations and easytounderstand financial reports
- Stay up to date with new technologies and market conditions
- Analyze historical and current financial data to understand the company s financial status
- Evaluate capital expenditures and depreciation
- Develop predictive financial models to support organizational decisionmaking
- Analyze processes to identify gaps that can improve profit margins
- Track current financial data to alert stakeholders in case of deviation
- Provide guidance in buying or selling stocks making investments and generating funds
- Study industryspecific research and available data to predict trends
- Create written reports that enable management teams to make strategic decisions to meet business goals
- Use financial software and tools to streamline processes and improve efficiency
- Support strategic initiatives by providing financial projections and costbenefit analysis.
Requirements
Bachelor s degree in Finance Accounting Economics or related field.
Professional certification (e.g. CFA CPA) is a plus.
Proven experience as a Financial Analyst or similar role.
Proficiency in financial modelling and forecasting.
Advanced knowledge of MS Excel and financial software applications.
Strong analytical and problemsolving skills.
Excellent communication and presentation skills.
Attention to detail and ability to manage multiple tasks simultaneously.
Familiarity with ERP systems and financial databases.