Assistant Vice President Finance

GX Group

Gurugram District

On-site

INR 6,000,000 - 9,000,000

Full time

6 days ago
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Job summary

GX Group seeks a strategic Manager Treasury, Corporate & Operational Finance to lead fundraising, treasury operations, FP&A, investor relations, and operational finance. The candidate should have 18–20 years of leadership experience in capital-intensive industries and a track record in capital markets, compliance, and systems implementation.

Role covers liquidity management, policy formation, and driving financial transformation across the group.

Qualifications

  • Chartered Accountant with 18+ years of experience in corporate finance, treasury, and operational finance.
  • Proven ability to raise 100 Cr+ through multiple instruments.
  • Strong industry experience in electronics, manufacturing, or other capital-intensive sectors.
  • In-depth understanding of FEMA, RBI, SEBI, Companies Act, and Ind-AS.
  • Hands-on experience with Oracle ERP and finance automation tools.
  • Leadership and stakeholder management skills.

Responsibilities

  • Lead fundraising initiatives, including ECB, NCDs, Rights Issues, QIPs, and project financing.
  • Oversee liquidity management, cash flow forecasting, and hedging of forex exposures.
  • Lead the development of the Annual Operating Plan (AOP), forecasts, and long-term models.
  • Develop investment memorandums, financial models and investor presentations.
  • Partner with commercial and business units on capex planning and business modeling.
  • Oversee daily finance operations (GL, AP, AR, closing) and statutory audits.
  • Drive automation and digitization of finance reporting and controls.

Skills

Leadership
Stakeholder management
Negotiation
Analytical
Oracle ERP
Financial automation tools

Education

Chartered Accountant

Tools

Oracle ERP
Finance automation tools

Job description

Role & responsibilities

We are seeking a results-driven and strategic Manager Treasury, Corporate & Operational Finance to lead the full spectrum of financial functions, including fundraising (100 Cr+), treasury operations, financial planning & analysis (FP&A), investor relations, and operational finance. The ideal candidate brings 18–20 years of leadership experience in electronics, manufacturing, or other capital-intensive industries, with proven expertise in capital markets, compliance, financial strategy, and systems implementation.

Key Responsibilities:
Treasury & Fundraising
  • Lead strategic fundraising initiatives, including ECB, NCDs, Rights Issues, QIPs, and project financing.
  • Manage working capital facilities, term loans, vendor/distributor financing, and surplus fund deployment.
  • Cultivate and maintain strong relationships with banks, NBFCs, investors, and credit rating agencies.
  • Ensure full compliance with FEMA, RBI, and SEBI regulations, including filings such as ECB, FFR, and QOS.
  • Oversee liquidity management, cash flow forecasting, and hedging of forex exposures.
  • Formulate and implement group-level forex and risk management policies.
Corporate Finance & Strategic Planning
  • Lead the development of the Annual Operating Plan (AOP), financial forecasts, and long-term models.
  • Conduct variance analysis, monitor key financial KPIs, and drive margin and performance improvements.
  • Develop investment memorandums, financial models, and presentations for management and investors.
  • Partner with commercial and business units on capex planning, strategic reviews, and business modeling.
Investor Relations
  • Act as the principal liaison with analysts, institutional investors, financial institutions, and regulatory bodies.
  • Manage earnings releases, analyst communications, and investor roadshows.
  • Lead IPO readiness and facilitate all aspects of capital market interactions and disclosures.
Operational Finance & Controls
  • Oversee daily finance operations, including GL, AP, AR, bank reconciliations, and financial closing.
  • Ensure timely and accurate preparation of monthly, quarterly, and annual financial statements.
  • Drive working capital optimization across receivables, inventory, and payables.
  • Coordinate internal and statutory audits, ensuring compliance with Indian GAAP, Ind-AS, and all regulatory standards.
  • Manage fixed asset accounting, capital expenditure tracking, and retirement fund portfolios (e.g., PF Trust).
  • Lead automation and digitization of finance reporting, dashboards, and control systems.
Team Leadership & Systems
  • Lead and mentor a multi-disciplinary finance team across Treasury, FP&A, Accounts, and Compliance.
  • Oversee the implementation and optimization of Oracle ERP and drive finance transformation initiatives.
  • Foster a culture of process excellence, governance, and continuous improvement in financial operations.
Desired Candidate Profile:
  • Chartered Accountant with 18+ years of experience in corporate finance, treasury, and operational finance.
  • Proven ability to raise 100 Cr+ through multiple instruments and manage complex treasury portfolios.
  • Strong industry experience in electronics, manufacturing, or other capital-intensive sectors.
  • In-depth understanding of FEMA, RBI, SEBI, Companies Act, and Ind-AS frameworks.
  • Effective leader with excellent analytical, negotiation, and stakeholder management skills.
  • Hands-on experience with Oracle ERP and financial automation tools.
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