Financial Reporting Analyst- EGYPT

Full-Time
WhatsApp Group
  • Full-Time
  • Cairo, Egypt
  • Negotiable / Month
  • Salary: Negotiable

CHALHOUB GROUP

The Chalhoub Group is the main accomplice for extravagance across the Center East beginning around 1955.

Financial Reporting Analyst- EGYPT – Job Vacancy – Cairo, Egypt

CHALHOUB GROUP – Cairo, Egypt

  • Job Location:- Cairo, Egypt
  • Company:- CHALHOUB GROUP
  • Education:- Relevant Degree Qualifications
  • Nationality:- Any Nationality
  • Gender:- Male / Female
  • Number of Vacant Positions:- Not Mentioned
  • Salary:- Negotiable
  • Job Type:- Permanent
  • Experience:- As mentioned in the Description

About CHALHOUB GROUP

The Chalhoub Group is the main accomplice for extravagance across the Center East beginning around 1955. As a specialist in retail, dispersion and showcasing administrations situated in Dubai, the Gathering has turned into a key part in the excellence, design and gift areas locally.

Mixing its Center East skill and personal information on extravagance, the Chalhoub Group is building brands in the locale by offering administration greatness to every one of its accomplices and a novel encounter to its clients. The Gathering is moving quick from a conventional wholesaler and retailer for extravagance in the Center East to a mixture retailer bringing extravagance encounters to the fingertips of clients all over the place.

About CHALHOUB GROUP

Job – Financial Reporting Analyst- EGYPT

Job Responsibilities:

Responsible for analyzing risks and economic trends and guiding the business, to assist in measurement, planning and forecasting of activities and implications on income statement and balance sheet; and to develop, interpret and implement financial and accounting concepts/ techniques for financial planning and control.

Work closely with operational sales and marketing managers and develop excellent knowledge of the business units’ operating environments including market size, industry trends, competitors, brands, margins, retail outlets as well as advertising spend etc.

Analyze financial information to produce forecasts of business, industry and economic conditions for use in making decisions Measure, plan and forecast Marketing activities and implications to income statement and balance sheet .

Develop Financial Strategic Planning as 3-Y Plan, strategic plan, Annual Plan and Quarterly Plan updates Review purchase cycle and analyze the Cash Flow on weekly basis to provide corrective actions if necessary.

Prepare the Monthly Tableau de Bord (TDB), the Budget and the revised Budget TDB from individual company TDBs .

Prepare analysis and recommendations on monthly financial figures from business units compared to budget and last year and issue reports as required by the management. Provide analysis and recommendations on annual and revised budgets, challenge assumption and propose revisions.

Arrange, observe and control the PandL, balance sheet and Interest rate parity (IRP) and recommend action.

Assemble spreadsheets and draw charts and graphs used to illustrate technical reports.

Build and manage a comprehensive KPI’s model (Financial and Business) in line with Company’s objectives and captures all relevant info needed to manage the business.

Run a GAP analysis to maintain financial standards as budgeted and process revisions.

Prepare operating budgets based on previous figures or estimated revenue and expense reports.

Review actuals against the budget performances and prepare reports explaining budgets deviations.

Develop and improve processes related to expenditure, appropriate financial methods to better evaluate and measure performance Take the data generated by the Accounting Department (input) and transform it into meaningful management information.

Analyze and follow-up of all management and financial indicators.

Provide Internal Control, ensure compliance with all Group Policies and Procedures and assist departments in running their businesses.

Support monthly closing process, preparation of journal entries, compilation of financial statements and analysis of financial activity.

Maintain knowledge and stay abreast of developments in the fields of business, finance, and economic theory, to drive continuous improvement of financial reports and to evaluate their impact on the business.

Provide analytical support to various treasury or cross-function initiatives and ad hoc projects.

Participate in new projects by processing simulations for new joint ventures and preparing business plans, study of the cash flow and PandL.

Job Qualifications:

 4-6 years of experince in Same position.

Fluent English

 

 

 

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To apply for this job please visit careers.chalhoubgroup.com.

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