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

RecruiterAccountimize
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.

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

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