Posted By

Job Views:  
385
Applications:  172
Recruiter Actions:  19

Job Code

1466714

Mandatory Requirement:

CA

- Experience in fund raise & Due Diligence

Job Roles and Responsibilities :

- Ensuring compliance with the Company's financial and fiscal policies, providing leadership and coordination in business planning, financial performance, accounting and budgeting efforts.

- All aspects of financial management, including corporate accounting, regulatory and financial reporting, budget and forecast preparation, as well as the development of internal control policies and procedures.

- Identify and implement best practices to make the Company's financial processes and internal controls more efficient and effective.

- Prepare reports as required for Audit Committee, Executive Committee and Board meetings; prepare quarterly consolidated accounts; ensure compliance of financials with IAS/IFRS accounting standards and ensure that tax and regulatory payments, returns and filing are up to date and compliant.-

Manage the finance function across revenue assurance, general accounting, FP&A, banking, direct & indirect taxation and MIS.

- Helping the organization in raising funds (debt and equity), management of funds and due-diligence.

- Financial Reporting: Ensuring the timely and accurate preparation of financial statements, including balance sheets, income statements, and cash flow statements

- Budgeting and Forecasting: Developing and managing budgets and forecasts to ensure the financial sustainability of the organization

- Financial Analysis: Conducting detailed financial analysis to support decision-making, including variance analysis and financial modelling

- Risk Management: Identifying and managing financial risks, including credit risk, market risk, and liquidity risk

- Tax Planning and Compliance: Ensuring compliance with tax laws and regulations, and developing tax planning strategies to optimize tax liabilities

- Internal Controls: Establishing and maintaining internal controls to safeguard the organization's assets and ensure the integrity of financial reporting

- Management Reporting: Providing regular financial reports to senior management, including analysis of key performance indicators (KPIs) and other financial metrics

- Cash Management: Managing cash flows, including cash flow forecasting and managing working capital

- Team Management: Leading and developing a team of finance professionals to ensure the effective delivery of financial services

- Liaison with External Stakeholders: Building and maintaining relationships with external stakeholders, including auditors, tax authorities, and financial institutions

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Posted By

Job Views:  
385
Applications:  172
Recruiter Actions:  19

Job Code

1466714

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