Position requires a Masters degree in Business Administration, Finance, Accounting, Economics, Statistics, Actuarial Science, or a related field, and 2 years of experience with financial analysis and forecasting on a global scale. Experience must include a minimum of 2 years of experience with performing analyses involving sensitivities and scenario building to support decisionmaking; 2 years of experience with financial reporting and translating complex finance concepts into actionable insights; 2 years of experience with building financial models for asset valuation, including discounted cash flow models, MA valuation models, project finance models, and debt sizing models; 2 years of experience with tracking reports of new products and financial metrics, including investment, profitability, and return; 2 years of experience with investment optimization models; and 2 years of experience with Oracle, R, SQL and TM1.
Categories: eb3
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