Job Responsibilities: - Collect and organize corporate financial data and effectively integrate related statements, including financial statements, cost and benefit data, budgets and cash flows, etc. - Analyze and interpret financial data using financial analysis tools and techniques, including profit analysis, cost analysis, cash flow analysis. - Make recommendations and forecasts based on the analysis results to help the management make decisions, such as budgeting and improving business strategies. -Participate in the preparation and audit of financial statements to ensure the accuracy and legitimacy of the company's financial statements. -Participate in the construction and optimization of various financial data models, apply them to financial analysis and forecasting, and provide decision-making support for management.
Job Requirements: -Bachelor degree or above, major in data analysis and statistics -Excellent office software skills, especially Excel and PPT, Power BI, etc., -Data analysis skills and keen business sense, excellent logical skills -English is available as a working language