About Us
We're a leading e-commerce company that values innovation and collaboration.
Job Description:
* Create financial models using Excel and Xero to manage cash flow forecasts, enabling informed decisions about investments in our business.
* Develop a thorough understanding of the organization’s overall financial performance by analyzing profit-loss statements (P&L) quarterly, preparing timely and accurate reports on any variances from plan along with suggestions for actions plans available assistance if necessary.