Brief Job Responsibilities: Analyse financial data and provide forecasting support of assigned regions Organize & consolidate data into accessible reports and perform various types of analysis using key metrics such as yearly growth, return on assets, return on equity and earnings per share Evaluate and analyse capital expenditures, depreciation, proposals, investment opportunities, rate of return, profit plans, operating records, financial statements, etc. Consulting with the management team to develop long-term commercial plans Suggesting budgets and improvements based on the above information Developing financial models and providing financial forecasts Study company’s financial data to give advice for guiding business investments and overall financial strategy. Developing initiatives and policies that may improve financial growth