Cleopatra Hospitals Group · Cairo, Egypt · Posted 2026-06-25
ResponsibilitiesAnalyze financial information to produce forecasts of business.Develop P&L budget and cash flow Budget.Determine financial status by Monitoring and analyzing plans and forecasts with actual results.Conduct regular Monitoring & reviews to update the budget variance & Cause of Change.Provide information to the Finance Manager by assembling and summarizing data; preparing reports; making presentations of findings, analysis, and recommendations.Develop financial analysis reports on Monthly & Quarterly Basis.Qualificationbachelor’s degree in finance, accountingup to 4 years’ Experience in same position.