Validating data, ensuring accuracy, timeliness and completeness of data for management reporting and planning purposes across the group. Participate in the planning, development, upgrades and new system enhancements. Cooperation with Technical Team to develop, test and modify business rules and scripts to meet users requirements. Support in planning and monthly forecasting processes, ensuring correct data flow in the system.
Manage standard data reconciliation and correction process,
Aggregation, currency conversion activities,
Close cooperation with technical team to investigate, interrogate and resolve data errors reported by data users,
Test new system functionalities implemented in the system,
Communicate and escalate data errors and inconsistencies to data users and reference data management team,
Drive the continuous improvement of planning and reporting processes with deep understanding of finance and data sets.
Required Skills, Qualifications & Experience:
University degree in Management, Finance, Economics or equivalent,
General knowledge of fundamental financial concepts and analysis,
Excellent English language skills,
Advanced Microsoft Office (with focus on Excel),
Relevant business experience in an international environment is an asset,
Strong analytical skills,
Excellent attention to detail,
Willingness to travel and work in a multi-site/location environment.