Key Responsibilities:
- Financial Planning and Analysis (FP&A):
- Developing and implementing financial plans and budgets.
- Analyzing financial data to identify trends, opportunities, and risks.
- Providing financial forecasts and projections.
- Financial Reporting:
- Preparing and overseeing the preparation of financial statements (e.g., income statements, balance sheets, cash flow statements).
- Ensuring accurate and timely financial reporting to internal and external stakeholders (e.g., investors, regulators).
- Cash Flow Management:
- Monitoring and managing cash flow to ensure the company has sufficient liquidity.
- Developing strategies for optimizing cash flow and managing working capital.
- Risk Management:
- Identifying and assessing financial risks and developing mitigation strategies.
- Ensuring compliance with relevant financial regulations and reporting requirements.
- Strategic Planning:
- Working with the CEO and other executives to develop and implement strategic plans.
- Providing financial expertise and insights to support strategic decision-making.
- Capital Structure and Financing:
- Overseeing the company's capital structure and financing activities.
- Advising on capital budgeting decisions and investment opportunities.
- Team Leadership and Development:
- Leading and managing the finance and accounting team.
- Developing and mentoring finance professionals.
- External Relations:
- Communicating with investors, analysts, and other stakeholders.
- Negotiating with banks and other financial institutions.
Job Type: Full-time
Pay: ₹1,200,000.00 - ₹1,800,000.00 per year
Schedule:
Work Location: In person