Senior Finance Manager / Finance Manager

JobItUs

Mumbai

On-site

INR 1,200,000 - 2,000,000

Full time

22 hours ago
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Job summary

JobItUs in Mumbai is seeking a CA-qualified finance leader with at least 10 years of experience to oversee financial reporting, treasury, cash flows, and compliance. The role emphasizes accurate accounting, regulatory alignment, and timely delivery of results.

You will manage a finance team, drive cross-functional collaboration, and ensure robust controls across direct and indirect taxation, budgeting, and financial planning. This is a 5-day on-site role.

Qualifications

  • CA qualification with 10 years of experience in finance.
  • Strong understanding of IND AS and regulatory requirements.
  • Experience in treasury management and banking operations.
  • Leadership experience overseeing finance teams.

Responsibilities

  • Oversee financial reporting, ensuring accuracy and timely delivery.
  • Manage treasury, banking operations, forex, and cash management.
  • Develop cash flow projections to support working capital planning.
  • Lead and mentor the finance team to achieve performance goals.

Skills

Financial reporting
Treasury management
Team leadership
IND AS knowledge

Education

CA (Chartered Accountant)

Tools

SAP

Job description

CA Qualified mandatorywith 10 years of experience
5 Days work from office
Job Description

Oversee the Financial reports, taxation both direct and indirect, cash flows, other compliance, treasury, long term and short term financing, revenue and related expense reporting for company, thereby ensuring control, accuracy, predictability and timely delivery of results, The role will also involve managing a team and handling different functions in finance.

Main Responsibilities:
1) Financial Reporting:
  • a. Prepare and present timely and accurate financial reports, statements, and analyses in line with IND AS.
  • b. Liaison with statutory auditor and ensure timely completion
  • c. Ensure accurate book-keeping in SAP and ensure preparer financial controls
  • d. Prepare & review variance analysis on a monthly basis and present to the DGM Finance the monthly dashboard.
  • e. Ensure that the monthly closing of books of accounts, including reconciliations and adjustments.
  • f. Stay updated on changes in accounting standards, tax laws, and regulations affecting the organization.
  • g. Collaborate with cross-functional teams to support business objectives.
  • h. Ensure compliance with regulatory requirements and accounting standards in financial reporting practices.
  • i. Ensure proper and effective treasury management.
2) Treasury / Manage Banking operations:
  • a. Oversee all banking activities, including Account Management, Transactions, and Reconciliations
  • b. Manage forex / treasury function (derivative contract booking and settlement)
3) Cash Flow Management / Projections:
  • a. Develop and maintain accurate cash flow projections to support working capital management.
  • b. Analyze cash flow patterns, identify trends, and make informed decisions to optimize cash resources efficiently.
4) Team Leadership:
  • a. Lead and mentor a team of finance professionals, fostering a culture of high performance and continuous improvement.
  • b. Provide guidance on financial matters, promote collaboration, and contribute to the professional development of team members
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