Job Description:


  • Processing and analyzing performance and financial data to construct structured presentation decks for management reporting.

  • Managing and driving the overall budget proposal process.

  • Actively participating and contributing to the annual budget cycle.

  • Serving as a finance business partner to assess and evaluate the financial performance of both new and existing products.

  • Assisting and coordinating within the project management pipeline.

Minimum Qualifications

  • Minimum of 3 years of professional experience in Corporate Planning, FP&A (Financial Planning & Analysis), Finance Business Partnering, or related financial fields.

  • Strong ability to read, analyze, and thoroughly understand financial statements, including the Balance Sheet (BS), Profit & Loss (PL), and Cash Flow (CF).

  • Highly proficient in processing raw data, encompassing both business performance metrics and financial data.

  • Proven capability in analyzing data and delivering actionable insights through structured reporting decks.

  • Solid technical accounting skills, with advanced proficiency in Microsoft Excel and PowerPoint.

  • Strong analytical skills and a data-driven mindset to support strategic business decisions.

  • Excellent cross-departmental communication skills to collaborate effectively with various internal teams and stakeholders.