Financial Analyst & Risk manager

Full Time

MTS Globe

We are looking for an experienced Financial Analyst & Risk Manager for our Finance Team in Palma de Mallorca. The ideal candidate should have strong financial analysis background, accounting knowledge and previous experience working in international environments.

Main responsibilities:

Reporting to the CFO / Co-CEO:

  • Counterparty Risk Analysis: Client Financial Rating, Setup of bi-weekly Risk meetings with the departments of Credit Control and Commercial, understand drivers of Clients’ business, provide a neutral opinion based on financial and non-financial information available in multiple information points.
  • Counterparty Risk Analysis: Vendors Financial Rating, Hotel Downpayment exposure, regular meetings with the Product Department. Balance Downpayment financial risk using tools like recovery period, financial rating and guarantees.
  • Counterparty Risk Analysis: Competitors Rating, understand competitors’ business models, rate financially the outcome of those business models.
  • Translate the meaning of financial information on current business performance to guide decision-making. Be able to translate financial information for non-financial peers.
  • Participate in special projects directly managed by the CFO / Co-CEO. Provide a wide understanding of Business Drivers and Business Models.
  • Support with the Expansion of the MTS Globe Group to other Destinations. Be able to capture best practices and be a reference contact point for the Partner Network.
  • Support with Due Diligence processes and have the accounting knowledge to provide a sound Balance Sheet Analysis. Support the team with legal and fiscal aspects.
  • Add value to the business by proactively doing Business Profitability Review (Business cases for specific projects as well as ad hoc analysis) and sharing best practices.

Requirements:

Academic background and previous experience:

  • Business school training with strong financial background
  • Over 5 years of experience in financial and business analysis
  • Excellent Excel/Access skills
  • Very high English level
  • Good understanding of Balance Sheets, Cash Flows, Profit&Loss and their drivers. Solid accounting knowledge with a strong will to understand Business Models.
  • Previous experience in working in international environments

Profile:

 

  • The candidate should be willing to step out of her/his area of comfort
  • The candidate should have a passion for the detail and the interest to understand business in depth
  • Be able to balance coordination tasks with the goal to deliver projects on time
  • An open character with no fear to raise questions and get hold of needed resources / sources of information. Highly communicative
  • With good humour! And a good degree of self-criticism
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