The Company
Our client is based in Abu Dhabi.
The Role
The role is as follows:
- Build and maintain the economic/financial model that will support sensitivity and scenario analysis for the Group, including areas such as dividend strategy, debt strategy, projects, and expansions
- Generate analysis and insights into our client opportunities and performance
- Support to the Treasurer in the analysis, optimization and communication of our clients debt structure (loans and bonds)
- Ensure alignment and best practice transfer of knowledge and information across debt and equity capital markets activities
The Person
Experience and Qualification Required:
- Bachelor’s Degree
- Finance qualification at university or post-university (e.g. CFA/CA/ACCA)
- Excellent Financial modelling and valuation ability
- Excellent understanding of financial reports and how financial markets operate
- Up to 8 years of post-qualified relevant experience for example (but not limited to) working as an analyst/working in corporate finance/due diligence/treasury/IR functions/corporate planning or rating agencies
- Experience in the manufacturing/oil and gas/chemicals sector advantageous
- Excellent analytical skills with the ability to interpret raw data and translate it into clear, concise information
Benefits
Attractive salary package and benefits
Location: Abu Dhabi