Skyro is a rapidly expanding fintech company serving thousands of customers in the Philippines through our lending business. Our mission is to evolve into a full-fledged financial ecosystem, delivering cutting-edge solutions that make financial services more accessible, efficient, and secure for everyone.
What you will do:
Financial analysis, monthly financial closing, business partnering
Analyze current and past trends in key performance indicators and all areas of Profit and Loss statement and Balance Sheet - prepare financial and business analyses, identify inefficiencies, recommend actions
Active involvement in monthly financial closing, performing variance analysis of actuals vs budget and acting as a control to ensure financials are correctly and timely booked
Close cooperation with other departments across the company on detailed analysis of drivers in profitability management
Close cooperation with DWH team on creation and upgrades of business and financial reports - knowledge of SQL is a plus
Preparation of financial analytics to support the company’s funding and liquidity management
Support Head of FP&A in preparation of presentations to Board of Directors and Senior Management Team
End-to-end ownership of various ad-hoc financial and business analytical tasks across the company’s operations
Financial Planning & Forecasting
Preparation and assistance in preparation of various departments’ plans and forecast
Independently work with financial models and analyses to support strategic initiatives – financial modelling skills are a plus
Examine financial plan estimates for completeness, accuracy, and conformance with existing & future business strategy as well as existing & future PFRS and IFRS standards
Assistance with preparation of stress test scenarios, sensitivity analyses
Critically examine logics used to estimate sales plans, Risk performance projections, budget for expenses and intelligently question if found some inconsistencies or buffers in the logic
Support Head of FP&A in preparation of in-depth analyses for Senior Management Team and Departments heads
Preparation and assistance in preparation of financial plan presentation for shareholders
What you should have:
Education: University degree in Business administration, Business management, Finance, Statistics
Work experience: 5 - 8 years of working experience in Big 4 financial audit/financial advisory/tax, Fintech, or Banking - Analytical roles preferably in Finance, Risk management, CRM
.
Skills and expertise:
Ability to independently work with data and create detailed analysis with an easy-to-understand output
Ability to create business hypothesis, structure the problem well, source required data, prepare objective analysis to understand cause-effect relationship, correctly quantify components
Strong presence and communication skills - both, written and verbal:
Ability to intelligently ask probing questions to parties involved in a discussion, including senior managers
Ability to prepare a clear and concise visualization and logical explanation of analytical outcomes
Advanced skills in MS Excel and MS Power point
Knowledge of IFRS and PFRS
Independence, proactivity and involvement in tasks outside of role description
Professional level of English language
Financial modelling expertise is a plus
Basic knowledge of SQL is a plus
What happens after you apply?
We review applications on a rolling basis and aim to get back within 2–3 business days. If there’s a fit, we’ll reach out. If you don’t hear from us within 2–3 weeks – consider it a pass. Thanks for taking the time – we appreciate your interest. 🚀
Collaboration Notice
Please note that the workday should start no later than 2 PM (GMT+8)/7 AM (CET) to ensure effective collaboration within our international team.