Are you an analytical and detail-oriented finance professional ready to contribute directly to strategic business decisions in the Globally Recognized Industry Leader?
A leading global distributor is seeking a skilled FP&A Analyst to join dedicated finance team. This role is essential for maintaining the fiscal integrity and driving the planning processes of a major international operation.
If you are proficient in advanced data tools and thrive in a fast-paced environment where your analysis translates directly into business strategy, we encourage you to apply.
What You Will Do Day-to-Day:
Your primary focus will be providing accurate financial intelligence and supporting daily operational excellence.
Regularly conduct variance analysis on profit and loss statements and financial reports, pinpointing key deviations and translating these into clear business insights.
Assist the finance team in the daily tracking of cash flow reports to ensure accurate liquidity management.
Support the process of analyzing and consolidating departmental budgets and income statement forecasts, contributing to the overall financial roadmap.
Perform routine data entry, verification, and backup tasks to maintain high data integrity. Work on automating reporting and analysis processes to increase team efficiency.
Daily review and monitoring of customer accounts. You will conduct credit analysis and manage the release of credit blocks, assisting in the onboarding credit assessment for new clients.
Prepare and present regular reports to management on general economic trends and industry performance to inform strategic leadership decisions.
Continuously collaborate and communicate effectively with management, the finance team, other operational departments, and external stakeholders.
Why Join?
Work within a company that is a subsidiary of one of the largest heavy equipment dealers globally, giving you visibility into massive international operations.
You will gain hands-on expertise with cutting-edge data visualization and financial tools, including Power BI and advanced financial modeling applications.
Your daily analysis directly supports management's strategic planning and decision-making in a dynamic, high-value sector.
The environment encourages critical thinking and problem-solving, ensuring continuous development in your financial career.
Required Qualifications:
Bachelor's degree in business, finance, accounting, or a related financial degree.
More than 2 years of professional experience as a Financial Analyst or Economist.
Proficiency in MS Excel, Power-Point, and financial modeling applications, with strong skills in Power BI.
Advanced English language proficiency is required.
Strong critical thinking, quantitative, and analytical skills.
Good knowledge of relevant financial laws and government regulations.