Assistant Manager - Business Finance

VVF Group

Mumbai

On-site

INR 1,800,000 - 3,000,000

Part time

14 days+
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Job summary

VVF Group in Mumbai seeks a finance professional to manage budgeting, pricing, and treasury operations. You will oversee cash flow, general ledger activities, and ensure compliance with internal and statutory controls.

The role requires strong costing, forecasting, SAP knowledge, and ability to work with leadership on business decisions. Occasional travel within and outside India is expected.

Qualifications

  • Deep pricing, costing, data analysis, planning and forecasting skills.
  • In-depth knowledge of accounting and finance operations laws, regulations, concepts and trends.
  • Knowledge of SAP software, ability to develop and institutionalize new financial processes and controls.
  • Knowledge of company’s strategy, structure and practices.

Responsibilities

  • Timely pricing and costing of products for leadership decisions.
  • Budgeting and forecasting of annual budgets and monitoring utilisation.
  • Review receivables/payables and assess financial impact and controls.
  • Oversee cash transactions and general ledger entries.
  • Manage cash flow and treasury operations.
  • Ensure compliance with internal and statutory controls.
  • Prepare financial documents, GL and trial balance inputs/outputs.
  • Plan and implement cost-control initiatives.
  • Coordinate with auditors for books and reports.
  • Monitor performance, capability and morale.
  • Liaise with internal and external auditors.

Skills

Pricing & Costing
Data analysis
Forecasting
Interpersonal skills
Negotiation
Travel willingness

Tools

SAP

Job description

  • Timely preparing pricing & costing of products to leadership teams for business decisions.
  • Budgeting & Forecasting of annual budgets and monitoring of utilisation of same.
  • Review Accounts receivable/ Accounts payable withrespect to financial impact & controls.
  • Oversee of all cash transactions, general ledger entries related activities.
  • Managing cash flow and treasury operations.
  • Compliance to internal and statutory control procedures and laws
  • Preparing financial documents, input and output records, including General Ledger and Trial Balance
  • Plan and implement cost control and improvement initiatives
  • Coordination and Interface
  • Liaise with statutory /internal auditor to coordinate audit of books and reports
  • Management of performance, capability and morale

Technical skills and knowledge

  • Deep Pricing, Costing, data analysis, planning and forecasting skills
  • In-depth knowledge of accounting and finance operations laws, regulations, concepts and trends
  • Knowledge of SAP software
  • Ability to develop and institutionalize new financial processes and controls
  • Knowledge of company’s strategy, structure and practices
  • Good interpersonal skills and confidence in interfacing with all levels of people, internally and externally
  • Strong negotiation and relationship management skills
  • Other-Open to travel within & outside India
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