Roles & responsibility:
Position Overview: Company is going through rapid expansion phase globally and looking for highly experienced and strategic Leader who is capable of dealing with Financial Institution, PE, VC and global Funding. Having Experience with IPO. He/she will play a crucial role in the financial management and strategic decision-making processes of the company. As a key member of the executive team this role will provide guidance and leadership to the finance department, ensuring the company's financial health and driving sustainable growth.
Responsibilities:
• CFO will represent organization to Financial Institutions of India as well as Abroad Institutions for future Fund raising, Capital management Foreign Exchange and IPO management
• Financial Strategy: Develop and implement the company's financial strategy, aligning it with the overall business objectives and long- term goals.
• Responsible to Financial Planning and Analysis: Oversee the preparation of financial forecasts, budgets, and financial models. Conduct in-depth analysis of financial data to provide insights and recommendations to the board of directors and Authorities.
• Risk Management: Identify and manage financial risks, implementing effective risk management strategies and controls. Monitor and evaluate financial performance and metrics to mitigate potential risks.
• Financial Reporting: Prepare accurate and timely financial statements, reports, and presentations for internal and external stakeholders. Ensure compliance with relevant accounting standards, regulations, and tax laws.
• Cash Flow Management: Oversee cashflow planning, monitor cash balances, and optimize working capital to support operational needs and investment opportunities.
• Capital Structure and Financing: Assess and optimize the company's capital structure. Evaluate financing options, negotiate terms, and manage relationships with lenders and investors. Also take active part in VC funding.
• Investment Analysis: Evaluate potential investments and opportunities, conducting due diligence, financial analysis, and risk assessments. Provide recommendations on capital allocation and resource optimization.
• Treasury and Tax Management: Develop and implement effective treasury management strategies, including cash management, debt financing, and foreign exchange. Ensure compliance with tax laws and manage tax planning and reporting.
• Team Leadership: Build and lead a high-performing finance team. Provide mentorship, guidance, and professional development opportunities to team members.
• Stakeholder Relations: Collaborate with internal and external stakeholders, including the executive team, board of directors, auditors, legal counsel, and financial institutions, to ensure effective communication and alignment of financial strategies.
• Maintained Relations with PE/VC/IPO for India and abroad for current and future need of organizational Financial management needs,