Period closing tasks (provisions and monthly closing)
Budget vs. Actual analysis.
Headcount analysis.
Payments and reconciliation with partners (rev-share, Affiliates)
Developing and maintaining financial and operational models and procedures
Keep a continuous improvement mindset to simplify processes and be automation-oriented.
Work closely with the accounting team.
Support internal Tax reporting and performing financial analysis for Tax purposes.
Budget vs. Actual analysis.
Headcount analysis.
Payments and reconciliation with partners (rev-share, Affiliates)
Developing and maintaining financial and operational models and procedures
Keep a continuous improvement mindset to simplify processes and be automation-oriented.
Work closely with the accounting team.
Support internal Tax reporting and performing financial analysis for Tax purposes.
Requirements:
2+ years of Proven experience as FP&A/analyst/budget and control economist
Attention to details. Problem-solving abilities
High proficiency in MS Office (Mainly Microsoft Excel, and PowerPoint).
Experience in SQL – must
Accurate and detail-oriented with a high level of analytical and professional skills.
Able to work in a fast-paced environment.
Excellent English- writing and verbal skills.
BA in Economics/Accounting – advantage
2+ years of Proven experience as FP&A/analyst/budget and control economist
Attention to details. Problem-solving abilities
High proficiency in MS Office (Mainly Microsoft Excel, and PowerPoint).
Experience in SQL – must
Accurate and detail-oriented with a high level of analytical and professional skills.
Able to work in a fast-paced environment.
Excellent English- writing and verbal skills.
BA in Economics/Accounting – advantage
This position is open to all candidates.