Phoenix Business Solutions helps organizations to optimize their performance by meeting their most critical needs such as managing, rewarding, training and engaging talent; ensuring responsible executive remuneration; and enhancing HR effectiveness.
Phoenix has liaison offices in different parts of the Middle East, the Indian sub-continent, South East Asia, Eastern Europe, the Philippines, Australia and South Africa. With such an international presence and a wealth of experience you are guaranteed excellence, expertise and complete peace of mind.
Qualifications
Bachelor Degree in Accounting, Business or related field with a minimum of 7 years of experience investment banking. Expertise with management reporting functions, generate periodic report against budget and financial models and budget adjustments, and other cost-improvement measures.Prepares cash flow projections, manages available cash to maximize interest income, manages foreign currency and interest exposure, manages the company�s long-term debt ensuring sufficient funds are available to finance operations and settle bank obligations.Analyzes complex financial data and extracts and defines relevant information; interprets data for the purpose of benchmarking past financial performance against key performance indicators.Uses various software applications, such as spreadsheets, relational databases, statistical packages, and graphics packages to assemble, manipulate and/or format data and/or reports. � Excellent working knowledge of MS Excel, Word and Access. � Excellent communication skills in both oral and written English and Arabic
Phoenix has liaison offices in different parts of the Middle East, the Indian sub-continent, South East Asia, Eastern Europe, the Philippines, Australia and South Africa. With such an international presence and a wealth of experience you are guaranteed excellence, expertise and complete peace of mind.
Qualifications
Bachelor Degree in Accounting, Business or related field with a minimum of 7 years of experience investment banking. Expertise with management reporting functions, generate periodic report against budget and financial models and budget adjustments, and other cost-improvement measures.Prepares cash flow projections, manages available cash to maximize interest income, manages foreign currency and interest exposure, manages the company�s long-term debt ensuring sufficient funds are available to finance operations and settle bank obligations.Analyzes complex financial data and extracts and defines relevant information; interprets data for the purpose of benchmarking past financial performance against key performance indicators.Uses various software applications, such as spreadsheets, relational databases, statistical packages, and graphics packages to assemble, manipulate and/or format data and/or reports. � Excellent working knowledge of MS Excel, Word and Access. � Excellent communication skills in both oral and written English and Arabic