Assess prospective clients' financial health by reviewing financial statements, identifying red flags, and building clear snapshots that support credit decisions
Conduct risk analysis on new deals by analyzing revenue trends, cash flow patterns, and operational performance to flag potential exposure before funding
Prepare deal summaries and financial reports using internal templates so decision-makers have clean, accurate data at every stage
Monitor active accounts for compliance with financial thresholds and contractual obligations, flagging deviations early
Maintain deal data across internal systems so the Risk and Finance teams always have up-to-date, reliable information
Track deals from initial submission through funding by managing follow-ups, internal handoffs, and outstanding requirements
Collaborate with Risk, Finance, and Account Management to ensure aligned execution and clear visibility on account status
Requirements:
3-5 years of experience in finance, accounting, or risk-related roles
Background in financial due diligence, credit analysis, loan monitoring, FP&A, or financial reporting
Comfortable reading financial statements, cash flow data, and operational metrics
Proficient in Excel or Google Sheets; experience with SAP, QuickBooks, or similar tools is a plus
Strong written and verbal communication skills in English
Experience in banking, lending, consulting, or corporate finance is highly valued
Conditions:
5/2
1500-2000$
Навыки
Financial Analysis
Accounting
Business Analysis
IFRS
Data Analysis
Risk management
SQL
credit
Financial statement analysis Financial due diligence