Actively participate in reserving and write-off processes
Gather data from Group companies and perform analysis and modelling
Prepare monthly, quarterly, annual and other periodic reports, as well as other one-off reports/analysis on demand
Align and put forward proposals for improvements in the quality of public data, in order to make a qualitative analysis
Work on improvement of existing reports and on process automatization
Rate the quality of the portfolio company and the dynamics of deviations from plans and other public companies, and other important financial indicators
Review and work on improvement of existing methodology, participation in methodology development
Align and put forward proposals for the necessary actions to improve the company's financial and/ or other indexes
Make proposals for process improvements and effectiveness Get participation in Group level projects related to Financial Risk area
Some must haves
University degree in mathematics / economics / finance
Ability to analyze and evaluate the business's financial position and present the results obtained
Previous experience in risks management or similar
Excellent computer skills, including knowledge of MS Office, especially MS Excel
Strong knowledge of SAS, SQL, R, SPSS or similar programming language
Demonstrated logical thinking, analytical and problem solving skills
Strong attention to details, high sense of responsibility and willingness to develop in risk area
Very good knowledge of English
We offer:
Challenging projects that you will have the real impact on
Employee development program to support you in your personal and professional development
Health Insurance
The best team and great colleagues
Salary EUR 1700 - 2200 gross monthly (depending on the candidates level of experience and competences)