Assistant Manager/ Financial Planning Manager and Analysis Jobs 2023

Assistant Manager/ Financial Planning Manager
We are looking for a highly motivated and detail oriented individual to join our team as Assistant Manager / Financial Planning & Analysis Manager. In this role, you will play a key role in managing our organization’s financial planning and analysis activities, with a particular focus on treasury and cash flow management. We are looking for someone with a strong analytical background, exceptional organizational skills and the ability to thrive in a fast-paced and dynamic environment.

Responsibilities of Assistant Manager/ Financial Planning Manager:

Financial Planning and Budgeting:

  • Lead the development and execution of the organization’s financial planning and budgeting processes, ensuring alignment with strategic objectives and operational objectives.
  • Help in the development and conservation of fiscal models, vaticinations and budgets to support the association’s strategic and functional planning.
  • Analyze variances to identify trends, risks and opportunities, and provide in-depth recommendations to improve financial performance.
  • Assist in due diligence and post-acquisition integration activities for company M&A growth initiatives.

Assistant Manager/ Financial Planning Manager

LocationKarachi (PK)
Salary150 – 200
Posted8 July 2023
Closes10 Aug 2023
Job roleFund accountant, Management accountant, Treasury
SectorAccounting – Public practice, Banking and financial services, Global business services and outsourcing, Legal, Management consultancy
Contract typePermanent
HoursFull time
Experience levelEntry level, Graduate scheme, Part qualified, Newly qualified, Manager

Treasury Management:

  • Develop and implement treasury management strategies, policies and procedures to mitigate cash flow, liquidity and financial risks.
  • Prepare cash flow projections and develop strategies to optimize cash utilization and reduce borrowing costs.
  • Assisting in bank account management, including account opening and closing, balance control, and transaction reconciliation.
  • Maintain relationships with banks and financial institutions to facilitate efficient cash management operations.
  • Evaluate and recommend suitable investment opportunities for additional funds taking into account risk, return and liquidity requirements.


  • Bachelor’s degree in Finance, Accounting or any related field. MBA/Masters degree preferred, professional certification (eg CFA, CPA, ACCA) an added advantage.
  • 4-6 Year Experience
  • Strong analytical skills with the ability to interpret complex financial data and derive meaningful insights.
  • Proficiency in financial modeling, budgeting and variance analysis techniques.
  • Knowledge of treasury management principles and practices, including cash flow forecasting, liquidity management, and investment strategy.
  • Advanced proficiency in Microsoft Excel and financial analysis software.
  • Excellent communication and presentation skills, with the ability to effectively communicate financial information to financial and non-financial stakeholders.

We offer:

  • Competitive salaries and negotiable benefits.
  • A healthy package for your well-being.
  • Continuous training and development opportunities to enhance your skills and advance your career.

If you are a motivated and driven finance professional with a proven track record of performance, we encourage you to apply for this exciting opportunity. Join our team and contribute to the financial improvement of our organization.

Apply Now

Latest Today Jobs:

Leave a Comment