Senior Finance Manager (Ahmedabad)

Senior Finance Manager (Ahmedabad)

06 Aug
|
Vrecruitfirst
|
Ahmedabad

06 Aug

Vrecruitfirst

Ahmedabad

Job Summary

We are looking for an experienced, analytical, and result-oriented Manager – Accounts & Finance to lead the organization's accounting operations, financial reporting, statutory compliance, cash flow management, and business finance activities. The ideal candidate will play a critical role in maintaining financial discipline, strengthening internal controls, optimizing working capital, and supporting strategic business decisions through accurate financial insights.

The role requires strong expertise in financial accounting, audit coordination, taxation, ERP systems, fundraising support, and stakeholder management. The candidate should be capable of collaborating with auditors, bankers, investors, and cross-functional teams while driving continuous process improvements and ensuring compliance with all applicable financial and regulatory requirements.

Key Responsibilities

Financial Accounting & Reporting

- Oversee the preparation and finalization of monthly, quarterly, and annual financial statements.
- Ensure accurate maintenance of books of accounts in accordance with applicable accounting standards.
- Review general ledger, journal entries, reconciliations, and financial records for accuracy and completeness.
- Prepare monthly MIS reports, financial dashboards, variance analysis, and management reports.
- Support budgeting, forecasting, and financial planning activities.

Compliance & Audit Management
- Ensure compliance with GST, Income Tax, TDS, Companies Act, and other applicable statutory regulations.
- Coordinate with statutory auditors, internal auditors, tax auditors, GST auditors, and external consultants.
- Prepare schedules, documentation, and reports required for audits and regulatory filings.
- Resolve audit observations and implement corrective actions.
- Ensure timely submission of statutory returns and regulatory compliances.

Internal Controls & Process Improvement
- Develop, implement, and strengthen financial controls, accounting policies, and Standard Operating Procedures (SOPs).
- Identify process gaps and recommend automation and operational improvements.




- Monitor compliance with internal financial policies and governance frameworks.
- Drive continuous improvement initiatives to enhance operational efficiency.

Working Capital & Cash Flow Management
- Monitor Accounts Receivable (AR), Accounts Payable (AP), and working capital.
- Prepare daily, weekly, and monthly cash flow forecasts.
- Track customer collections, vendor payments, and liquidity positions.
- Recommend strategies to optimize cash flow and improve financial performance.
- Coordinate with procurement and operations teams for effective payment planning.

Banking, Fundraising & Treasury
- Coordinate with banks, NBFCs, and financial institutions for banking operations and funding requirements.
- Support fundraising initiatives by preparing financial models, due diligence documents, and investor reports.
- Manage banking documentation, loan compliance, and treasury-related activities.
- Handle IDPMS, EDPMS, FEMA-related documentation, and banking regulatory compliance where applicable.

ERP & Business Finance
- Lead ERP implementation, process integration, and system optimization initiatives.
- Ensure finance processes are effectively integrated with ERP systems.
- Collaborate with cross-functional teams to improve financial workflows and reporting accuracy.
- Utilize ERP and reporting tools to support business decision-making.

Strategic Finance & Business Support
- Evaluate business proposals, capital expenditure (CapEx), leasing, and financing opportunities.
- Provide financial analysis and recommendations to support strategic initiatives.
- Prepare financial models, business performance reports, and profitability analysis.




- Partner with leadership to support business growth and expansion plans.

Required Skills

- Financial Accounting & Reporting
- Financial Statement Preparation & Analysis
- MIS Reporting & Financial Dashboards
- Budgeting & Forecasting
- Cash Flow & Working Capital Management
- Accounts Receivable (AR) & Accounts Payable (AP)
- Internal Controls & SOP Development
- GST, Income Tax & Statutory Compliance
- Audit Coordination & Regulatory Compliance
- ERP Implementation & Process Automation
- Fundraising & Due Diligence Support
- Banking & Treasury Management
- Advanced Microsoft Excel & Financial Analysis
- Strong Analytical & Problem-Solving Skills
- Leadership & Team Management
- Stakeholder & Vendor Management

Qualifications:

- Bachelor's Degree in Commerce, Accounting, Finance, Business Administration, or a related field.
- MBA (Finance), M.Com, CMA, Inter CA, or equivalent professional qualification will be preferred.

Experience

- Minimum 6+ years of experience in Accounts & Finance.
- Hands-on experience in financial reporting, compliance, cash flow management, audit, taxation, and ERP systems.
- Experience in manufacturing, trading, or quick-growing organizations will be an added advantage.

Preferred Candidate Profile

- Strong knowledge of accounting principles, financial controls, and statutory compliance.
- Proven experience in managing audits, banking relationships, and financial operations.
- Ability to lead cross-functional teams and manage multiple priorities effectively.
- Excellent communication, presentation, and stakeholder management skills.
- High level of integrity, ownership, and attention to detail.
- Ability to work in a dynamic, fast-paced, and growth-oriented environment.

Experience : 5 - 6 Timing : 09:30 AM - 6:30 PM

Working Shift : Day Shift (Onsite)

Job Type : Full Time

Category : Indian Accounting

Salary : Best in industry

Skills : Excellent Communication

Keywords : Accountant

Interested candidates kindly share your resume on [email protected] or WhatsApp on (phone hidden)

📌 Senior Finance Manager (Ahmedabad)
🏢 Vrecruitfirst
📍 Ahmedabad

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