157 Debt Management jobs in Singapore
Associate, Debt Management Consultant
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We don’t simply hire employees. We invest in them. When you work at Chatham, we empower you – offering professional development opportunities to help you grow in your career, no matter if you’ve been here for 5 months or 15 years. Chatham has worked hard to create a distinct work environment that values people, teamwork, integrity, and client service. You will have immediate opportunities to partner with talented subject matter experts, work on complex projects, and contribute to the value Chatham delivers every day.
Institutional real estate investors are navigating increasingly complex and evolving debt portfolios, often across fragmented systems. As a Debt Management Consultant in our Investment Management team, your mission is to bring clarity and structure to that complexity.
You’ll work with some of the most sophisticated commercial real estate clients in the industry, helping them solve challenges in loan reporting, data management, and portfolio analytics. Leveraging our proprietary technology platform, you’ll transform unstructured loan terms into structured, reliable data – enabling streamlined reporting, sharper analytics, and clearer visibility into portfolio performance. You’ll become a trusted partner in helping clients proactively manage their loan portfolios and make more confident, informed decisions.
What You’ll Do:
Lead the onboarding of new clients by translating scattered loan data into structured, actionable models in Chatham’s proprietary technology.
Review and accurately extract information from various types of real estate source documents such as loan agreements, leases and rent rolls, income and expense statements, capital expenditure reports and balance sheets.
Monitor client portfolios for changes like paydowns, drawdowns, and refinancings – and ensure data stays accurate and up to date.
Design and implement bespoke workflows to track covenant test results, loan reporting, and portfolio analytics.
Implement quality control procedures to ensure the accuracy and completeness of data and analysis, and identify and resolve any discrepancies or errors.
Build strong relationships with clients through regular calls and proactive insights, working closely with them to understand their investment and financing strategies, the markets they are invested in, and other factors that may impact the solutions we provide.
Provide technical and customer service support to clients who are using our SaaS platforms. This includes acting as the main point of contact for users related to the platform, assisting clients with setting up and using the platform, including configuration settings, running reports, managing data, and responding to user inquiries in a timely manner.
Collaborate with our technology team to enhance Chatham’s technology offering based on client feedback and evolving market needs.
Train and mentor new team members to ensure consistency and excellence in delivery.
Provide support and subject matter expertise to Chatham’s Client Engagement Team in pursuing new business opportunities with both existing and new clients, including attending and presenting in client meetings.
The Role is Ideal for Someone Who:
Thinks like a detective – you enjoy digging into documents, spotting inconsistencies, and solving puzzles others might miss.
Has a sharp eye for detail and takes pride in getting things right the first time – you know that small oversights can have big consequences.
Communicates clearly and confidently, especially when translating technical details into client-friendly language.
Stays calm in ambiguity and adapts quickly to changing client needs.
Has strong organizational and project management skills, with the ability to prioritize tasks, meet deadlines, and manage resources effectively.
Takes ownership of your work and consistently delivers high-quality, reliable results.
Is energised by collaboration and eager to learn from others.
What Success Looks Like in the First Year:
You’re confidently modelling loan terms and covenant structures, actively contributing to client conversations, and delivering insights that help clients make smarter, faster decisions.
You’re independently managing client portfolios, identifying data gaps, and delivering reporting that drives smarter decisions.
You’re leading client conversations, anticipating needs, and shaping the evolution of our platform through feedback and collaboration.
Qualifications:
Bachelor’s degree in business, finance, economics, real estate, or a related field.
3+ years of experience in real estate finance, asset management, loan servicing, or real estate transaction law.
Strong attention to detail and the ability to identify and extract key data from various types of real estate source documents.
Exposure to commercial real estate loans, with an understanding of their structure, terminology, and financial covenants.
Excellent communication skills, both written and verbal, with the ability to convey complex ideas and information to clients, team members, and other stakeholders.
Advanced proficiency in Microsoft Excel, with the ability to create and maintain complex financial models, analyse data and present insights.
Knowledge of real estate markets and industry trends, and a willingness to stay up to date with changes and developments in the field.
About Chatham Financial:
Chatham Financial is the largest independent financial risk management advisory and technology firm. A leader in debt and derivative solutions, Chatham provides clients with access to in-depth knowledge, innovative tools, and an incomparable team of over 750 employees to help mitigate risks associated with interest rate, foreign currency, and commodity exposures. Founded in 1991, Chatham serves more than 3,500 companies across a wide range of industries — handling over $1.5 trillion in transaction volume annually and helping businesses maximize their value in the capital markets, every day. To learn more, visit chathamfinancial.com.
Chatham Financial is an equal opportunity employer.
Working at Chatham means tackling diverse projects and solving complex problems. Are you up for the challenge?
Discover why more than 3,500 clients worldwide count on Chatham to understand and manage their financial risk.
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Global Credit & Debt Management Manager
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Global Credit & Debt Management Manager
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SJ Group
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Global Credit & Debt Management Manager
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SJ Group
About SJ
Surbana Jurong Group is a global urban, infrastructure and managed services consulting firm, with over 70 years of track record in successful project delivery. Headquartered in Singapore, the group has a global talent pool of 16,000 across Surbana Jurong and our member companies AETOS, Atelier Ten, B+H, CHIL, KTP, Prostruct, RBG, SAA, and SMEC, based in more than 120 offices in over 40 countries. They include architects, designers, planners, engineers and other specialists driven by progressive thinking and creative ideas to help shape a better future.
About SJ
Surbana Jurong Group is a global urban, infrastructure and managed services consulting firm, with over 70 years of track record in successful project delivery. Headquartered in Singapore, the group has a global talent pool of 16,000 across Surbana Jurong and our member companies AETOS, Atelier Ten, B+H, CHIL, KTP, Prostruct, RBG, SAA, and SMEC, based in more than 120 offices in over 40 countries. They include architects, designers, planners, engineers and other specialists driven by progressive thinking and creative ideas to help shape a better future.
Our technical experts deliver sustainable solutions that cover the entire project life cycle from planning and design, through to delivery and management, as well as decommissioning and closure. We provide a full suite of multidisciplinary consultancy services across a diverse range of sectors that includes aviation, healthcare, hospitality, transport, water and environment as well as energy and resources.
Surbana Jurong has built more than a million homes in Singapore, created master plans in more than 60 countries and developed over 100 industrial parks globally. By designing and delivering quality housing, work spaces, roads, rail, hydropower, dams, underground and coastal protections and other critical infrastructure needed by our clients, we are redefining cities and transforming them into sustainable and livable spaces where communities and businesses, present and future, can thrive.
Job Summary
A fantastic opportunity has arisen for a Global Credit & Debt Management Manager to join Buildings + Cities (one of the three Global Business Line(“GBL”)). Reporting to Director, Buildings + Cities (“B+C”), Global Finance and working closely with the finance and accounting teams across the globe, the Role will lead and improve debt management and working capital results. Moreover, this Role will be a key business partner with key stakeholders across Buildings + Cities to drive overall business performance.
Job Duties
Manage debt collection, credit exposure and working capital B+C aiming to achieve working capital KPIs set by the Group.
Effectively lead and support management, operations and key stakeholders to identify and implement sustainable improvements in business’ cash conversion practices and debt collections.
Assess B+C’s current policies and processes, lead analytical efforts involving transactional data, financial data, and/or supply chain data, identify root causes that have resulted in the current working capital position and propose/develop recommendations to management to enable value creation.
Demonstrate high levels of business acumen, subject matter expertise, and the ability to quickly assimilate new knowledge. Keep up-to-date with current developments and trends in design and engineering consulting capabilities, technology and sector specific knowledge.
Form “trusted advisor” relationships with management and operations.
Effectively develop, train, and mentor team members on debt management, working capital skills and knowledge.
Provide support, guidance and vision in improving and enhancing the team’s practice on debt and credit management.
Key Requirements
Background in debt and credit management, working capital / treasury in design, engineering and consulting industry.
Degree holder in Finance or Accounting preferred.
Qualified member of recognized Professional Accounting Qualifications, e.g. CPA, ACCA.
Minimum 8 years of relevant global / regional debt management / commercial experience in MNC environment (prior Big 4 experience highly regarded but not essential).
Strong analytical mind with great commercial acumen.
Advanced financial modelling skills, with the ability to handle and process large amount of data.
Excellent communication skill in English and other local languages (preferred but not essential).
Strong business partnering and stakeholder management skills.
Advanced user of Microsoft Excel and PowerPoint.
Extensive experience working with large ERP systems (preferred SAP) and BI tools.
Resilient, proactive and self-motivated.
Able to work collaboratively with people from different levels, functions and cultural background.
Specific Skills Required
Excellent communication and project management / accounting skills.
Excellent written and spoken English and local languages.
Stakeholder management skills and presence with regional / global exposure.
Ability to efficiently navigate financial systems, ideally with SAP experience.
Strong analytical skills and ability to draw conclusions.
At Surbana Jurong, we put talent, hard work, teamwork and a fun workplace together to approach problems and solve them creatively and collaboratively. Join us in making a positive impact on the world!
Seniority level
Seniority level Mid-Senior level
Employment type
Employment type Full-time
Job function
Job function Finance and Sales
Industries Professional Services
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Financial Planning
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Company Overview
We are a leading provider of connectivity and dark fiber solutions, enabling businesses to scale and innovate in the digital economy. Our high-performance and scalable network solutions support clients across industries with low-latency, high-capacity data transfer.
Position Summary
We are seeking a motivated and analytically driven finance professional to join our team in a high-visibility role with opportunities for growth, leadership development, and strategic impact. The successful candidate will deliver actionable financial insights and contribute to driving business performance through robust financial planning and analysis.
- Prepare and present comprehensive weekly and monthly financial reports, providing clear insights to support strategic decision-making.
- Contribute to end-to-end forecasting processes across P&L, cash flow, and balance sheet, ensuring accuracy and business alignment.
- Perform detailed budget vs. actual analysis, identify key drivers of performance, and recommend corrective actions.
- Support the development and consolidation of the annual operating plan in collaboration with cross-functional teams.
- Work closely with senior leadership, gaining exposure and opportunities for career development.
- Bachelor's degree in Finance, Accounting, Economics, or a related discipline.
- Professional certifications (e.g., CPA, CFA, MBA) will be an advantage but are not mandatory.
- 3+ years of relevant experience in financial planning and analysis, preferably in a dynamic or complex business environment.
- Strong analytical skills with attention to detail.
- Proficiency in Microsoft Excel and PowerPoint.
- Good communication skills with the ability to present financial data in a clear and strategic manner.
Financial Planning
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We are seeking a highly analytical and detail-oriented Financial Planning & Analysis (FP&A) Analyst to join our finance team in the dynamic and fast-paced hospitality industry. This role is pivotal in driving data-driven decisions, budgeting, forecasting, and financial reporting across our hotel portfolio. The ideal candidate will combine strong financial modeling skills with an understanding of hotel operations to support strategic and operational goals.
Duties and Responsibilities:
Financial Planning & Analysis
- Develop and maintain rolling forecasts, annual budgets, and long-range financial plans.
- Analyze variances between actuals, budgets, and forecasts, providing insights to senior management.
- Work closely with hotel General Managers, Financial Controllers, operations teams, and corporate finance to gather financial inputs and align on projections.
Reporting & Data Analysis
- Prepare and deliver monthly, quarterly, and ad-hoc financial performance reports.
- Identify key performance trends and operational drivers affecting financial results.
- Generate dashboards and KPI scorecards using tools like Excel and PowerPoint.
Financial Modeling & Business Cases
- Build robust financial models to evaluate ROI for new projects, renovations, marketing campaigns, or changes in service offerings.
- Support asset management teams with pro forma modeling for acquisitions, dispositions, and hotel development opportunities.
Process Improvement & Strategic Support
- Recommend and implement improvements to budgeting and forecasting processes.
- Assist in developing pricing strategies, cost optimization, and margin improvement initiatives.
- Provide decision support to senior leadership for capital planning and investment prioritization.
- Participate in data analytics and related projects
Experience and Skills:
- Bachelor's degree in Finance, Accounting, Economics, Business, or a related field.
- 2+ years of experience in FP&A, financial analysis, or related role.
- Hospitality industry experience is strongly preferred (hotels, resorts, or related sectors).
- Auditing background preferred.
- Strong financial modeling and Excel skills.
- Proficiency in SUN financial systems.
- Proficiency in Power BI is an advantage.
- Experience with hotel property management systems (e.g., Opera) is a plus.
- Excellent communication (oral and written) and presentation skills.
- Strong business acumen and attention to detail.
Financial Planning
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Job Description:
- Assist in setting financial goals, monitor performance, analyze variances, and recommend improvements across P&L, Balance Sheet, and Cash Flow.
- Lead the budgeting and projection process, consolidate inputs, and provide realistic, high-quality forecasts and recommendations.
- Partner with management on financial decisions including contract structuring, pricing, profitability, and margin analysis.
- Support product costing, variance analysis, and inventory valuation; monitor stock aging and obsolescence provisions.
- Manage working capital, cash flow planning, liquidity, FX exposures, and hedging in line with Group policies.
- Prepare management, statutory, and tax reports; ensure compliance with internal controls, DOA, and audit requirements.
- Oversee WHT, indirect taxes (GST/VAT/SST), and corporate income tax submissions, ensuring timely compliance with authorities.
- Support regional financial planning and management activities
Job Requirements:
- Diploma or Degree in Accounting, Finance, or related field.
- Possess professional certification (e.g., ACCA, CPA, CIMA) or a Chartered Accountant (MIA/ISCA) is an advantage.
- Minimum 3-5 years' experience in financial planning, management accounting, or related functions.
- Experience and good knowledge of Singapore tax and statutory regulations, OR at least competent knowledge of Malaysia tax.
- Experience in a manufacturing environment and familiarity with SAP systems is preferred.
- Strong analytical, problem-solving, and communication skills.
- Able to partner with management and cross-functional teams to drive financial performance.
Financial Planning
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Morgan McKinley is Your Gateway to Career Success.
Embark on a rewarding career journey as FP&A Managerfor our client, a Technology company in the industry.
Job Overview:
· 6-12 month contract role – highly renewable
· Working hours: Monday-Friday, 830am-530pm
We seek a candidate with a growth-oriented and entrepreneurial mindset, focused on driving business impact through continuous learning and innovation. This individual excels in building collaborative relationships within diverse and virtual teams, demonstrating strong action-oriented leadership to deliver impactful results beyond their immediate scope.
Responsibilities:
- Financial Planning & Analysis:Assist the FP&A Team in orchestrating critical finance processes (Budget, Forecast, Month Close, QBRs) across Asia.
- Financial Management:Support FP&A initiatives to achieve Quarterly Financial Accountabilities (QFA) and uphold Global Operating Principles.
- Business Partnership:Collaborate closely with business leaders and process owners across Asia to deliver insights and value-added analyses, including benchmarking, spend management, and resource allocation.
- Controls and Compliance:Work with the Compliance team to drive comprehensive controls and compliance initiatives, including framework development, execution plans, and audit liaison.
- • Coordinate with internal and external auditors to facilitate required documentation and reviews.
Requirements:
- Bachelor's Degree or equivalent
- Proficiency in Statutory Accounting (Local GAAP, USGAAP), Controlling, and Tax principles (preferred).
- Minimum 10 years of FP&A experience, with at least 4 years in a regional capacity within a multinational corporation.
- Advanced Microsoft Excel skills, including proficiency in managing large datasets and pivot tables; experience in building P&L / Finance models in Excel or PowerPivot.
- Proven ability to thrive independently in ambiguous environments with strong hands-on and analytical capabilities.
- Background in compliance and risk management.
- Experience in multinational environments with varied product and segment finance roles highly valued.
Interested candidates may apply through the application system or send it to sg- Shortlisted candidates will be notified.
By sending us your personal data and curriculum vitae (CV), you are deemed to consent to Morgan Mckinley Pte Ltd and its affiliates to collect, use and disclose your personal data for the purposes set out in the Privacy Policy available at You acknowledge that you have read, understood, and agree with the Privacy Policy.
Morgan McKinley Pte Ltd
Koh Boon Sien
EA Licence No: 11C5502
EA Registration No. R
Financial Planning
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Job ID: 4RX6YWYV
Responsibilities:
- Responsible in supporting our financial planning, forecasting, and strategic decision-making processes and in closely working with the FP&A Manager and cross-functional teams to deliver accurate, insightful financial analysis and support investment project evaluations.
- To identification/implementation of enhancement for improved productivity and driving Strategic Plan and Annual Plan processes including development of action plans and implementation of tracking procedures and other specific initiatives.
- Assist in the preparation and consolidation of annual budgets, quarterly forecasts, and long-range financial plans
- Support monthly and quarterly variance analysis against budget/forecast, providing commentary and identifying risks and opportunities
- Collaborate with business units to ensure accurate and timely input of assumptions, cost drivers, and business trends
- Maintain and enhance financial models, templates, and tools for scenario planning and decision support
- Prepare and present monthly management reports, dashboards, and KPI trackers to key stakeholders
- Support the preparation of review decks and executive-level presentations
- Ensure consistent and accurate reporting across business units, aligning with company-wide performance metrics
- Act as a financial partner to business teams, providing analytical support for cost control, margin improvement, and operational efficiency initiatives
- Participate in business case development for new initiatives, pricing decisions, and cost-benefit analyses
- Help streamline and standardize FP&A processes for efficiency and accuracy
- Support implementation of FP&A systems and tools (e.g., Power BI, Anaplan, SAP BPC)
- Ensure financial data integrity and compliance with internal controls and company policies
Requirements:
- Bachelor's degree in Finance, Accounting, Economics, or a related field with 1-2 years of experience in FP&A, corporate finance, or related functions
- Strong understanding of financial principles, budgeting process, and business case evaluation
- Sound MS Office skills especially advanced Excel, Hyperion & Power BI knowledge with a good working knowledge of SAP
- Able to execute change strategies and bring change projects to successful completion.
- Strong collaboration skills with ability to work with cross functional teams
- Demonstrates operational Finance knowledge and financial analysis skills with hands on knowledge of financial operations.
- Able to drive business performance by monitoring execution of finance processes and continuously improving the same.
- Self-motivated individual requiring less supervision with passion for excellence and peak performance.
- Excellent teamwork with ability to work autonomously
- Strong communication skills (oral, written and listening)
- Attention to details, excellent analytical, problem solving skills
- Ability to work in a fast paced, deadline driven environment
All Successful candidates can expect a very competitive remuneration package and a comprehensive range of benefits.
Interested applicants may wish to email your resume in a detailed Word format to
We regret that only shortlisted candidates will be notified.
Cindy Char Sin Yi
EA License Number: 02C4944
Registration Number: R
People Profilers Pte Ltd
Tel:
20 Cecil Street #08-09 Singapore
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Financial Planning
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Job Description & Requirements
Location: Singapore
Industry: Contract Manufacturing (MedTech)
Reports to: Director
Key Responsibilities:
- Collaborate with Heads of Departments to develop the annual budget and set operational goals.
- Create and manage detailed financial models that capture revenue and cost drivers for key accounts, including new ventures and projects.
- Analyze discrepancies between actual performance and budget, providing insights and strategies to meet or exceed targets.
- Conduct analyses to identify growth opportunities, enhance cost efficiencies, and mitigate risks.
- Ensure financial reporting deadlines are met by working closely with internal stakeholders.
- Collaborate with the finance team to prepare investor reports, offering financial insights and business judgment to inform decisions.
- Assist in creating materials for management and board meetings.
- Participate in developing new processes and tools to provide insights that drive decision-making.
Profile of Ideal Candidate:
- Degree in Accounting, Business Management, or Finance with 7+ years of experience, including 3-5 years in FP&A.
- Previous experience in FP&A or financial accounting teams is necessary.
- Strong expertise in budgeting, financial modeling, investor reporting, and accounting operations.
- Excellent communication skills, comfortable engaging with both internal and external stakeholders.
- Eagerness to learn, tackle new challenges, and pursue professional growth.
- Strong quantitative, analytical, and problem-solving abilities.
- Ability to work independently with a keen attention to detail.
If you are keen to have a preliminary chat, please send your CV directly to
The data collected is strictly used for recruitment purposes only and will be treated with the utmost confidence. Your profile will also be sent out only after you have given your consent.
Adaba Pte Ltd
Reg No: R
EA Licence: 25C2727
Financial Planning
Posted today
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Job Description
Job Description & Requirements
Location: Singapore
Industry: Contract Manufacturing (MedTech)
Reports to: Director
Key Responsibilities:
- Collaborate with Heads of Departments to develop the annual budget and set operational goals.
- Create and manage detailed financial models that capture revenue and cost drivers for key accounts, including new ventures and projects.
- Analyze discrepancies between actual performance and budget, providing insights and strategies to meet or exceed targets.
- Conduct analyses to identify growth opportunities, enhance cost efficiencies, and mitigate risks.
- Ensure financial reporting deadlines are met by working closely with internal stakeholders.
- Collaborate with the finance team to prepare investor reports, offering financial insights and business judgment to inform decisions.
- Assist in creating materials for management and board meetings.
- Participate in developing new processes and tools to provide insights that drive decision-making.
Profile of Ideal Candidate:
- Degree in Accounting, Business Management, or Finance with 7+ years of experience, including 3-5 years in FP&A.
- Previous experience in FP&A or financial accounting teams is necessary.
- Strong expertise in budgeting, financial modeling, investor reporting, and accounting operations.
- Excellent communication skills, comfortable engaging with both internal and external stakeholders.
- Eagerness to learn, tackle new challenges, and pursue professional growth.
- Strong quantitative, analytical, and problem-solving abilities.
- Ability to work independently with a keen attention to detail.
If you are keen to have a preliminary chat, please send your CV directly to
The data collected is strictly used for recruitment purposes only and will be treated with the utmost confidence. Your profile will also be sent out only after you have given your consent.
Adaba Pte Ltd
Reg No: R
EA Licence: 25C2727
Financial Planning
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The incumbent is to support all aspects of the financial planning and analysis, including but not limited to weekly forecasts, monthly forecast, quarterly forecast, month end closing and year end closing, budget and strategic plan. The position reports to CFO.
Responsibilities
Financial analysis and reporting
Evaluates data and measures impact of risks and opportunities to make recommendations and articulates implications of choices to business partners. E.g. trend analysis, cost/benefit analysis
Information and system management
Understand how data is structures and can navigate systems efficiently. Applies business knowledge to system solutions to support business decision
Budget and Strategy planning
Manages processes that plan, track, measure and interpret operating performance. Guides/Assesses financial forecasts. Evaluates and identifies operating risks and opportunities. Communicates results that assist with resource allocation decisions
Project management
Execute project while ensuring efficient utilization of resources. Communicates project status, issues, and resource need effectively
Prepares and analyses financial data such as but not limited to costing, pricing, sales, gross profit, market sector as well as product analysis.
- Assist in the monitoring of operating results : sales, GP, OPEX, Operating Income, CAPEX and Working capital
- Assist in Forecast, Budget and month end closing by the management team on financial analysis.
- Assist in the preparation of weekly, monthly, quarterly and yearly P&L account, balance sheet and Working capital
- Work closely with CFO, Finance team and local management to prepare weekly flash forecast (including revenues, operating income and working capital and prepare the annual plan
- Work and liaise with Regional/Corp FP&A team to standardize the reporting
- Any other duties as assigned
Requirements
- Candidate must possess bachelor's degree in Accounting / Finance with at least years of experience in similar role.
- Qualification of Chartered Financial Analyst (CFA) would be an added advantage
- Preferable from IT industry in distributor environment.
- Good knowledge in computer skills such as SAP system, Hyperion, Essbase, Smart View, OneStream
- Advanced proficiency in using Microsoft Office software especially Excel
- Ability to work individually and as a team member
- Able to communicate effectively with various stakeholders
- Ability to multitask and meet constant deadlines