This job is no longer available.

You can view related vacancies or set-up an email alert notification when similar jobs are added to the website using the buttons below.

Job Description

Key Responsibilities : 

- Work out different business models, define the business requirements and facilitate monitoring of conformance to financial as well as operational requirements 

- Technically sound across various areas of finance including M & A, taxation and Cos. Act compliance / consolidation 

- Devise and implement financial controls, policies and procedures 

- To maintain statutory accounts as per Indian Standards, Guidelines, Business Policies & Procedures. 

- Explore investment options and manage investor expectations 

- Monitoring and ensuring compliance to statutory requirements, Business rules/ Bye-laws of the Exchange, Legal & fiscal requirements and policies 

- Facilitate financial planning & budgeting, internal & external reporting and cost control activities. 

- Interact with other managers to provide consultative support to planning initiatives through financial and management information analyses, monthly results, documents review, reports and recommendations 

- Ensure financial consolidation, and execution at BU level with highest level of accuracy and strictest compliance 

- Provide a comprehensive analysis including any risks and opportunities to the management for decision making 

- Ensure foreign exchange risk is properly managed by various financial tools such as natural hedge, forward cover, swap and other instruments 

- Dealing with banks and managing good relationship with them on time to time basis, ensuring that the cost of funds is kept at the lowest possible level 

- Frequently interact with the Corporate Treasury Department to leverage our corporate relationship and guidance/approvals. 

- Fully responsible for the Treasury ensuring that proper funding is in place for the legal entities 

- Provide leadership and technical expertise in implementing and executing the most appropriate policies and controls 

- Facilitate and guide sites in period and financial closings and review all outstanding items on a regular basis 

- Monitoring of operating working capital management 

- Also responsible for the integrity of financial information and internal control systems and providing decision and operational support to company 

- Developing and monitoring operational and cash flow budgets/plans, and ensuring that all funds are spent with prudence 

- Provide leadership and technical expertise in implementing and executing the most appropriate policies and controls 

An individual with a CA + MBA Finance will be preferred.

 
×