and the rest of the company. Conduct financial modeling and cash flow forecasting. Monitor business performance
transparency, and employing advanced financial modelling techniques and conducting risk assessments to
equity
onthly management accounts
applicable) • Build, run and execute profitability models and provide required reports for business • Provide
analytical skills with proficiency in financial modeling, forecasting, and variance analysis
with the ability to build corporate financial models
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Assisting in actuarial analysis and modeling for short term corporate products.
Supporting
Responsibilities:
Conducting actuarial analysis and modeling for short term corporate products.
Providing
demands.