
Key Responsibilities:
- Lead financial controllership activities across all Energy entities.
- Ensure accurate accounting, financial reporting, and compliance with applicable accounting standards.
- Oversee Accounts Receivable (AR) and Accounts Payable (AP) operations.
- Ensure timely and accurate preparation of financial statements, MIS, and management reports.
- Drive disciplined working capital management and optimize cash conversion.
- Monitor cash flows and coordinate with Treasury teams to ensure adequate liquidity.
- Oversee cash-flow forecasting, liquidity planning, and funding requirements.
- Lead internal and external audit activities and ensure timely closure of audit observations.
- Establish and strengthen internal financial controls, processes, and governance frameworks.
- Ensure compliance with statutory, regulatory, and financial reporting requirements.
- Identify financial and operational control risks and implement appropriate mitigation measures.
- Review financial performance and provide insights to senior management.
- Drive standardization and continuous improvement across accounting and controllership processes.
- Coordinate with Finance, Treasury, Tax, Audit, Legal, and business teams on financial matters.
- Ensure strong financial governance and integrity across all Energy entities.
Required Candidate Profile:
- Qualified Chartered Accountant (CA) Mandatory.
- Minimum 10 years of relevant experience in financial controllership, audit, accounting, and financial reporting.
- Strong experience in financial controllership within large or complex organizations.
- Proven expertise in accounting, AR/AP, financial reporting, and MIS.
- Strong knowledge of working capital management and cash-flow management.
- Experience in Treasury coordination and liquidity management.
- Strong exposure to internal controls, audit, governance, and regulatory compliance.
- Excellent analytical, leadership, stakeholder-management, and problem-solving skills.
- Strong understanding of financial governance and risk management.
Core Skills:
- Financial Controllership
- Chartered Accountancy
- Accounting & Reporting
- Working Capital Management
- Cash Flow Management
- Treasury Coordination
- Liquidity Management
- AR & AP Management
- MIS Reporting
- Audit Management
- Internal Controls
- Financial Governance
- Regulatory Compliance
- Risk Management
- Financial Integrity
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