Key Responsibilities:
Analysis and submission at management’s request financial monitoring information related to the financial position of the Company and information about industry peers, financial and banking markets;
Preparation information and analysis for the Company’s management aiming to support operational decisions;
Preparation of materials (presentations, analytical and management notes) at the Company’s management requests about financial position and metrics of the Company and performance of CFO business line;
Participation in collection information from Company’s departments and providing such information to financial and banking institutions, including for the purposes of executing financial deals, fulfilling the terms and obligations under financial contracts, annual monitoring and updates of the credit limits;
Preparation of information to be provided to external counterparties within external audit and various business activities of Company;
Regular reporting on debt/financial instruments position of the Company;
Participation in development of Financing Strategy of the Company;
Managing and regular update of other analytical materials of CFO business line;
Managing relations with information agencies;
Preparation of budgeting parameters within corporate budgeting process, preparation of debt portfolio information for the budgeting purposes;
Analytical, organizational and administrative support within execution of financial deals (debt finance, non-debt financing, project finance, hedging, insurance) at the Management and CFO requests.
Education and/or Experience:
Degree in Finance, Accounting, or Economics; professional qualification CFA, FRM completed/in progress is an advantage;
Minimum 5 years of relevant experience in banks, auditing company or large financial, consulting or industrial group with international/global presence (risk management, analytics, debt finance, financial controls, compliance);
Strong expertise in financial analysis, financial modelling, corporate finance, IFRS;
Basic knowledge of Metals & Mining sector;
Computer Skills: Proficiency in MS Office
Language Skills: English, at least upper-intermediate, Azerbaijani or Russian is a plus.
Thank you for your interest in the Chief Analyst role and for submitting your application. To process your application and keep your CV/resume in our database for future relevant opportunities (for up to 24 months), we kindly request your consent.
In additional please confirm that you are willing and give your explicit consent for a security check/background verification to be conducted (including verification of the information and documents you have provided) should your candidacy progress to the next stages of the recruitment process.
Skills Required
- Degree in Finance, Accounting, or Economics
- At least 5 years of relevant experience in banking, auditing, or a large financial, consulting, or industrial group
- Strong expertise in financial analysis, financial modeling, corporate finance, and IFRS
- Basic knowledge of the metals and mining sector
- Proficiency in Microsoft Office
- English proficiency at least upper-intermediate level
- CFA or FRM qualification completed or in progress
- Azerbaijani or Russian language skills
What We Do
Partnerstree is a European Union-based business-support and human-resources company serving small and medium-sized businesses. Its services include recruiting and reverse recruiting, HR consulting, company-establishment and small-business advisory, and relocation support for people moving abroad. The firm works across Europe through a flexible delivery model, helping clients optimize performance, build teams, and access practical professional guidance and trusted support for their operational and organizational needs.







