Job Description
Position Overview
- We are seeking a dedicated and results-oriented Finance Operations Analyst.
- This individual will be responsible for accounting and financial analysis function to ensure the financial records of the company are properly kept and generate the financial insights the company needs to operate efficiently.
- This position is ideal for candidates who have experience in accounting and are looking to manage the finance operations of a growing internet company.
Job Description
- Keep the management account of the organization updated as frequently as possible.
- Provide weekly reports on expenses and income.
- Work with external accounting professionals like tax consultants and auditors to fulfill all financial requirements.
- Manage and fund the budget for operational activities.
- Keep track of outstanding debts and accounts receivable.
- Ensure that the inventory books are well-balanced and updated.
- Manage the company's financial obligations in countries it has a registered business.
- Maintain a relationship with banking partners and vendors to negotiate discounts and eliminate excessive spending.
- Manage all financial operations of the company.
Experience / Requirements
- Interested candidates should possess a Bachelor’s Degree
- Advanced spreadsheet skills: To be successful at this role you need to be a power user of spreadsheets
- Minimum of 3 years in a finance role with a strong emphasis on data analysis and accounting.
- Proficiency in accounting software and automation tools
- Experience in budgeting, forecasting, and financial modeling.
- Strong analytical skills with the ability to interpret complex data and take initiative.
- Knowledge of e-commerce financial operations and inventory management.
- Ability to use technology to improve your workflow processes (e.g: using Zapier or creating workflow automations in Zoho)
- Experience filing taxes or dealing with tax consultants.
Our Preferred Candidate is someone who has these skills set:
- Advanced data analysis with proficiency in Excel and other spreadsheet tools.
- Comprehensive accounting experience, including the preparation of management accounts.
- Proficient in calculating and interpreting key financial ratios such as Debt Service Coverage Ratio (DSCR) and Cash Conversion Cycle (CCC).
- Skilled in developing financial metrics tailored to assess cross-departmental financial performance.