The company US Dollar 2.5 Bn public enterprise.
Company is well-diversified player in the Health & Wellness space and has multiple business interests :
- Hair Restoration Services under license from DHI, Greece based, world's largest Hair Restoration Business - 16 clinics in India (mix of own and franchise)
- DHI International, Singapore - DHI Master Franchise Licensee of 155 countries - 15 clinics in 11 countries (Australia, South East Asia, Africas and Americas)
- Joint venture in Malaysia to aggressively promote DHI business in the region
- Dermatological Aesthetics Clinics under brand - Asian Roots- 3 cities
- Online business - Clovia.com (major player in online Lingerie retail)
- Cash flow positive since inception
- All current businesses EBITDA positive
Job Profile :
- This position reports to the CEO of the company
- This is a business role with multi-dimensional responsibility. You will be part of the core team which defines and drives the go-forward strategy of the company
- You will work with as well as contribute to other business functions to deliver business results including revenue growth and profitability
- You will assist the management on tactical matters like cost-benefit analysis, audits, cash flow management, MIS reports, budget control, taxation, forecasting, and compliance
- You will lead the accounts & finance operations of DHI for both India based and international business interests of the group (multiple business lines across different countries)
- You will work with partners/consultants on audits, filings, transfer pricing mechanism, etc. on ongoing basis for multiple businesses
- You will setup the business MIS structure for the company and be responsible to generate business insights
- You will be expected to identify trends and insights, and optimize spends based on the insights
Other Duties :
- Direct Tax compliance and handling all indirect tax matters
- Completion of assessments, appeals & refunds
- Manage statutory audits, transfer pricing studies and timely tax-return filing
- Maintain all regulatory and statutory compliances
- Prepare monthly and annual financial statements in accordance with accounting standards and standard operating procedures
- Maintain internal controls and financial procedures
- Manage relationships with consultants, service providers, bankers and auditors
- Forecast cash flows and manage working capital requirements
- Monitor KPIs such as profitability, collections, costs, revenues, financial commitments etc.
- Manage receivables and payables
- Manage payroll and incentives
- Ensure confidentiality of financial data and proprietary information
Requirements :
- Qualified CA With 10+ Years Of Relevant Work Experience (post CA)
- Able to adapt to a dynamic and constantly evolving work environment
- Attitude of a Business Owner, not an employee. You should be a street smart person who will own the business and not the function alone. Not just an idea generator but someone who gets things done
- Able to multi task and handle multiple responsibilities simultaneously
- Excellent communication skills with negotiation capabilities
- Great people skills and influencing skills
- Salary is no bar for the right candidate
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