- Data Gathering: Collect financial data from internal systems and market databases.
- Report Preparation: Help create daily, weekly, and monthly financial reports.
- Variance Analysis: Compare actual financial results with budget estimates.
- Forecasting: Assist senior team members in revenue and expense forecasting.
- Support: Build basic financial models in Excel to support business decisions. [1, 2, 3]
Required Skills
- Excel Knowledge: Strong skills in Microsoft Excel (pivot tables, basic formulas).
- Analytical Mind: Good basic math and problem-solving skills.