Posted by
Posted in
Banking & Finance
Job Code
1662829
We are hiring Chief Financial Officer for our client based at Ahmedabad, Gujarat.
Job Summary:
Experienced and strategic Leader with strong in IPO management, Global fund raising, dealing with Multi country bank and Financial Institution, PE, VC, etc. He/she will play a crucial role in the financial management and strategic decision-making processes of the company.
Education and Skills:
- CA, Master's degree in finance, accounting, or a related field. A Master's degree or CPA qualification is highly desirable.
- Proven experience as a Leader in Finance role, preferably in a similar industry for more than 10 Years.
- Proven record of managing Bank financing and debt raising. Experience in Multi Country Banking VC Funding.
- Strong financial acumen and business understanding, with the ability to translate financial data into strategic insights.
- Demonstrated experience in financial planning, analysis, and forecasting.
- In-depth knowledge of accounting principles, financial regulations, and reporting standards.
- Excellent leadership and people management skills, with the ability to motivate and develop a finance team.
- Willingness to travel Pan India and across the globe.
Responsibilities:
- CFO will represent 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. Must have also Knowledge about Indian Territory like BSE, NSE.
- FP&A: 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.
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Posted by
Posted in
Banking & Finance
Job Code
1662829