Daily tasks will include:
-Forecasting multiple Currencies.
-Updating and working with data in Excel.
-Monitoring Inventory positions.
-Verifying and Posting Traded tickets.
-Investigating discrepancies and responding to inquiries in a timely manner.
-Working closely with Accounting and FX Trading teams.
-Performing other duties as assigned or requested by the Forecasting Manager.
- Analytical and strong problem-solver.
- Previous experience in the data entry, finance, or accounting is a plus.
- Advanced level of Microsoft Excel and working knowledge of Microsoft Office Suite.
- Strong team player, excellent attention to detail, and the ability to multi-task.
- The candidate will also be expected to work well with minimal supervision in a fast-paced environment.
- Advanced English level us a must (Excellent written and verbal communication skills)
- Studies in Economics, Business, Mathematics, or Statistics (Preferred)