Financial Preparation & Consolidation
Lead monthly, quarterly, and annual financial statement preparation.
Manage consolidation of group entities in compliance with Ind AS.
Ensure accuracy, timeliness, and completeness of reporting
Compliance & Standards
Drive compliance with Ind AS, Companies Act, and other regulatory frameworks.
Oversee statutory audits, internal audits (relating to book closure), and reporting requirements.
Maintain solid governance and internal controls.
Performance Summary & Management Reporting
Prepare monthly performance summaries for senior management.
Provide insights into financial metrics, variances, and trends
General Ledger Analytics
Perform detailed GL reviews and variance analysis.
Support management decisionmaking with analytical reports.
Cash Flow Projections
Prepare and monitor shortterm and longterm cash flow forecasts.
Align cash flow planning with business growth and investment needs.
Automation & Process Improvement
Lead initiatives to automate reporting processes and enhance efficiency.
Implement financial systems upgrades and digital tools.
Drive continuous improvement in reporting accuracy and turnaround time.
Stakeholder Coordination
Collaborate with business units, auditors, consultants, internal stakeholders and regulators.
Act as a key liaison between finance, operations, and senior leadership.
Present financial insights to management and board committees.
Preferred candidate profile
Chartered Accountant CA with 5 to 10 years of experience.
Solid knowledge of Ind AS, IFRS, and Indian corporate reporting requirements.
Proven track record in financial consolidation and reporting.
Experience in GL analytics, cash flow management, and automation projects.
Excellent communication and stakeholder management skills.
Key Competencies
Analytical thinking and problemsolving.
Solid leadership and team management.
Attention to detail with a strategic mindset.
Ability to work under pressure and meet strict deadlines.
Exposure to ERP systems (SAP/Oracle/others), preferably SAP.