Responsibilities: - Research, analyze and monitor financial, economic, political and other macro factors and indicators on a daily basis.
- Identify market trends, factors and economic indicators interdependences and summarize conclusions in producing weekly analytical reports.
- Develop long- and short-term financial forecasts and scenarios based on macroeconomic situation, industry factors, market trends and assumptions of senior finance management.
- Develop and recommend FOREX, interest rates and pricing strategies for the Company on the ground of macroeconomic forecasts.
- Communicate with outside information and analytical agencies, and consolidate and analyze data from various sources.
- Effectively communicate and produce various reports on macroeconomic issues to senior finance management.
Requirements: - The ideal candidate will have at least 3 years (preferably 5)of analytical experience within an investment/banking/analytical agency.
- Master's degree (M. A.) or equivalent in Accounting, Finance and/or Economics.
- Ability to write analytical reviews and reports in English and Russian for senior management that conform to prescribed style and format.
- Ability to effectively present information to top management in both English and Russian.
- Ability to apply various forecasting techniques.
- Ability to apply mathematical operations to such tasks as frequency distribution, analysis of variance, correlation techniques, factor analysis etc.
- Profound analytical and managerial skills.
- Proficiency with Bloomberg, Reuters.
- Ability to work independently, with self-confidence, and under time pressure in a constantly changing environment.
Тип занятостиПолная занятость, полный день | Реклама |