Assistant Manager – Finance – CA

20Cube Logistics Solutions Private Limited

Chennai District

On-site

INR 600,000 - 900,000

Full time

14 days+

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Job summary

A logistics solutions company in Chennai is seeking an Assistant Manager for their finance team. The ideal candidate is a Chartered Accountant with 0-3 years of experience in statutory audits, internal audits, and financial analysis. In this role, you will manage financial operations and contribute to strategic decisions. Strong skills in financial systems like Oracle or SAP are required.

Qualifications

  • 0-3 years of experience in finance.
  • Hands-on experience in statutory audit and internal audit.
  • Strong understanding of budgeting and cash flow management.

Responsibilities

  • Conduct statutory and internal audits.
  • Evaluate internal controls and recommend improvements.
  • Assist in preparing budgets and forecasts.
  • Manage treasury operations and ensure efficient liquidity management.

Skills

Statutory Audit
Internal Audit
Financial Planning & Analysis
Treasury Operations
Analytical Skills
Communication Skills

Education

Chartered Accountant

Tools

Oracle
SAP

Job description

Overview

Position Title: Assistant Manager

Department: Finance

Location: Chennai

Reports To: Group Finance Controller

About the Role:

We are seeking a highly motivated and detail-oriented Chartered Accountant with 0-3 years of experience to join our dynamic finance team in Chennai. The ideal candidate should have exposure to statutory audits, internal audits, financial planning & analysis (FP&A), treasury operations, and preparation of financial controls.

This is a key role that involves managing financial operations, ensuring compliance, and contributing to strategic decision-making processes.

Key Responsibilities
  • Conduct statutory and internal audits to ensure compliance with regulatory requirements.
  • Evaluate internal controls, identify gaps, and recommend improvements.
  • Assist in preparing budgets, forecasts, and variance analysis.
  • Provide insights and recommendations for financial performance improvement.
  • Manage treasury operations, including cash pooling/sweeping, and forex hedging.
  • Ensure efficient liquidity management and adherence to treasury controls.
  • Prepare and monitor daily and periodic cash flow statements.
  • Support in short-term and long-term cash flow planning.
  • Assist in the preparation of financial reports, dashboards, and MIS for stakeholders.
  • Ensure adherence to budgetary controls and identify cost optimization opportunities.
  • Support the design and implementation of internal financial controls.
  • Periodically review and enhance processes to ensure compliance with best practices.
Key Qualifications & Skills
  • Qualified Chartered Accountant with 0-3 years of experience.
  • Hands-on experience in Statutory Audit, Internal Audit, FP&A, and Treasury Operations during Articleship or post-qualification.
  • Strong understanding of financial reporting, budgeting, and cash flow management.
  • Proficiency in financial systems and tools such as Oracle, SAP, or equivalent ERP systems.
  • Excellent analytical and problem-solving skills.
  • Strong interpersonal and communication skills to interact with cross-functional teams.
  • Proactive attitude with the ability to manage multiple priorities in a dynamic environment.
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