Lead financial strategy, budgeting, forecasting, and business planning.
Oversee financial reporting, MIS, taxation, audits, and statutory compliance.
Manage treasury, cash flow, working capital, and fund management.
Drive IPO readiness, investor relations, fundraising, and corporate finance initiatives.
Ensure compliance with Companies Act, SEBI, Income Tax, GST, and other regulatory requirements.
Develop financial controls, risk management frameworks, and governance practices.
Partner with the leadership team to support strategic business decisions and profitability.