Senior Consultant in Digital CFO (Finance sector)

Занятость Полная занятость
Полная занятость
Адрес Узбекистан, Ташкент
Описание вакансии

Key Responsibilities

1. Development of Management Reporting:

  • Design, implement, and optimize management reporting systems for financial institutions, ensuring accurate tracking and analysis of key financial metrics, with a specific focus on credit portfolio performance.
  • Create customized reporting tools that provide senior management with actionable insights for decision-making and operational improvements.
  • Assist clients in enhancing the transparency and efficiency of their internal reporting processes by leveraging automation and digital tools.

2. Financial Modeling & Forecasting:

  • Develop and refine complex financial models for budgeting, forecasting, and financial planning, tailored to the unique needs of financial institutions.
  • Build dynamic models that facilitate scenario analysis and stress testing to support clients in making informed financial decisions under various market conditions.
  • Ensure accuracy and relevance of financial forecasts by regularly reviewing and updating models in line with market trends, regulatory changes, and client-specific factors.

3. Financial & Risk Management Consulting:

  • Provide in-depth consulting services related to financial strategy and risk management, helping clients navigate regulatory requirements and optimize capital and liquidity management.
  • Analyze the financial health and risk exposure of clients, delivering tailored solutions that enhance risk mitigation, profitability, and operational efficiency.
  • Work closely with stakeholders to improve governance frameworks and financial control systems, ensuring robust financial risk management practices.

4. Policy & Methodology Development:

  • Develop and review policies, regulations, and methodological frameworks for managing financial risks, capital, and liquidity, ensuring alignment with both local and international regulatory standards.
  • Draft detailed procedures, guidelines, and internal methodologies for effective financial management and risk mitigation within financial institutions.
  • Assist clients in implementing these policies and ensuring their practical application through workshops, training, and on-site support.

5. Stakeholder Engagement & Communication:

  • Collaborate with senior client executives and key stakeholders to understand business challenges, define project objectives, and provide strategic recommendations that address their financial and risk management needs.
  • Prepare and deliver presentations, reports, and findings to C-level executives, articulating complex financial concepts in a clear and actionable manner.
  • Act as a trusted advisor to clients, fostering long-term relationships and contributing to business development efforts by identifying new opportunities for collaboration.

Skills required

  • Bachelor’s (preferably, Master’s) degree in Finance, Economics, Accounting, or a related field

Minimum 3-4 years of working experience in either:

    • audit department (financial institutions) of a Big4 company,
    • risk management division of a financial institution (bank)
    • accounting of a financial institution (bank)

· finance division of a financial institution (bank)

· Strong experience in financial modeling, management reporting, or risk management in the financial sector

· Fluent Russian; Uzbek and English languages are a plus

· Excellent analytical and problem-solving skills

· Excellent knowledge of local accounting standards or IFRS

· Ability for interaction with clients, written/oral communication and presentation skills

· Stress resistant, responsible, self-disciplined, mature, and focused

Требования
Опыт 3-6 лет
Условия работы
График работы Полный день
Добавлено 6 дней назад
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