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الوصف الوظيفي - Design and build financial models for new and existing capital projects-coordinate with different business units, understand their business / operational requirements , agree on key assumptions / inputs and develop comprehensive flexible financial models. - Active involvement in tendering process - review the tender documents , highlight the financial terms , coordinate with business units , agree on assumptions and develop financial models. - Develop and review business cases for new projects /changes in existing projects through various parameters such as IRR , NPV , profitability. Support M&A;from finance perspective: - Perform valuations of companies using different methodologies such as income approach , market comparable approach and net assets value approach. - Conduct detailed analysis of historical and forecast financial information ( through management reports , financial reports , desktop research). Due diligence: - Conduct inithil screening of companies and markets through high level desktop research. - Perform analysis of historical and forecast financial information to identify key attributes and issues / risks in a transaction / company . Management reporting: - compile presentations / report to provide financial insights / information management and make actionable recommendation on both strategy and operations (especially related to corporate finance , investments,etc). - Develop tools , reports and systems to provide critical balance sheet , P&L;and liquidity information to various stakeholders. Treasury : - Analyze and recommend hedging strategies to manage the interest rate risk and foreign exchange rate risk exposure . - Develop cash flow forecasting model for different business units with the purpose of capital planning , treasury and risk management. - Prepare debt planning tools and models for the group to stress the sensitivities of various factors , analysing the impact of new capital and assuring no breach of any of the financial covenants anytime. Market research: - Perform desktop and third party research on different sectors ( macro view , key trends, pros&cons;, outlook etc). - Assist management in forming a view on state of different sectors and to compare with performance of bus. - Compile presentations , with analysis and actionable recommendations , for management. - Others. Develop and maintain effective relationships with bus and external consultants: - Ensure operations/ work processes occur in accordance with all relevant legal , regulatory , and any other standards and requirements to witch compliance is required. - Ensure the health and safety of all employees and the protection of the environment for all sites / work premises under their control. Others : - Perform other job - related duties as assigned. - Follow specified systems , processes and procedures , implemented in the workplace , to ensure compliance with legal , regulatory , and other requirements / standards. - Work safely at all times , protecting the health and safety of everyone in the workplace. - Perform other ad-hoc projects. المهارات - Bachelor’s Degree in economics , Finance , Math or Business. - Master’s Degree preferred. Professional Experience : - 6-8 years of experience in corporate finance and liquidity planning. Geographic Experience : - Middle east experience will be preferred. Computer Skills: - Good knowledge of MS office applications and research tools like bloomberg and zawya. Language Skills : - Business fluent English , Arabic will be a plus. Market / industry / Functional Knowledge: - Understanding of how financial instruments work. - Strong financial modeling skills. - Strong analytical , verbal and written communications skills. - Strong organizational skills and uncompromising attention to detail technologically competent ( esp , MS excel). تفاصيل الوظيفة https://www.bayt.com/ar/qatar/jobs/senior-financial-analyst-4149107/ |
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