About the job
About Tyme Group
Tyme Group is a pioneering global digital banking organization dedicated to creating innovative financial services tailored for customers across various markets. We seamlessly blend extensive banking expertise with cutting-edge technology to provide straightforward, accessible, and scalable financial products.
Functioning within a range of diverse geographical and regulatory landscapes, our Group Strategy team operates at the crossroads of finance, technology, and strategy. This position offers team members unparalleled exposure to intricate business challenges, senior leadership engagement, and impactful decision-making in a rapidly expanding international company.
Opportunity
This role presents a unique opportunity for a commercially astute analyst keen to be at the crossroads of finance, strategy, and executive decision-making. As a member of the Group Strategy team, you will collaborate closely with senior executives, external investors, and business leaders to influence how the Group evaluates performance, allocates capital, and defines strategic direction across multiple markets.
Combining essential management reporting duties with active participation in managing external stakeholders and strategic initiatives, this position fosters the early development of both technical skills and strategic acumen in your career.
Role Scope
Management Reporting & Business Insight (~70%)
- Oversee and produce financial and operational reports for executive leadership and external investors.
- Evaluate business performance, identify key drivers and trends, and convert insights into strategic focus areas for senior management.
- Contribute to the creation of decision-oriented narratives for senior leadership.
- Assist in performance deep dives across the group, partnering with senior stakeholders to foster improvements and implement strategic initiatives.
Investor Relations (~15%)
- Facilitate engagement with external investors and shareholders to enrich business understanding and discussions on performance.
- Help prepare materials for investor updates and performance reporting.
- Coordinate investor conferences and shareholder events (held at least bi-annually), including the preparation of materials and logistical arrangements.
Strategy & Corporate Development (~15%)
- Assist with strategic projects, including market analysis, business case development, and performance enhancement initiatives.
- Provide analytical support for corporate development and corporate finance projects.
- Help with financial modeling, scenario analysis, and business valuations.
Requirements
Education: Bachelor’s Degree in Finance, Business, Economics, or a related field.
Skills: Strong analytical and quantitative skills, proficiency in financial modeling and reporting, excellent communication and interpersonal abilities.

