- Review Financial Planning activities, Profitability, Liquidity, Investment, Cash Flow, Treasury, Risk Management of the company
- Manage Cost Control, Credit Control, Lean Capex, Financial Reporting, Tax, Legal, Compliance and Mentoring of the Department Heads
- Reviewing and publishing timely monthly Financial Statements.
- Responsible for review of M&A, synergy and due diligence of strategic deals
- Improvement of Cash Conversion Cycle [CCC], Daily Cash Flow Management at company level, Investment of funds in deposits (centralized treasury control), foreign exchange risk management, optimization of treasury function operations.
- Ensuring all reporting is compliant with statutory law and financial regulations
- Documenting business processes and accounting policies to maintain and strengthen internal controls
- Supervise the India Finance Shared Services [Accounts Payable and General Ledger] operations and Centralized GST Operations
- Overseeing the audit process and liaising with external personnel as required for timely closure
- Drive innovative projects relating to automation, process-efficiency etc. and mentor all the 'Departments' in their monthly activity goals
- Creating monthly and annual reports to identify results, trends, and forecasts
- Review and vet agreements, contracts, other legal documents
- Supervising and managing all 'Departments'
- Review the 'Departments' monthly performance and provide timely feedback (mentoring)
- Foster and nurture healthy relationships with the BUs to encourage an amicable working environment
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