To lead the monthly closure of Books of Accounts, manage Fixed Assets capitalization, and
oversee the financial operations. The role is pivotal in ensuring accurate P&L; reporting, margin analysis, and providing strategic financial presentations to internal stakeholders and the Board.
KEY RESPONSIBILITIES
● Fixed Assets Management: Manage capitalization of projects, review Capital
Work-in-Progress (CWIP), and lead vendor negotiations regarding pricing and payment
terms.
● Financial Closing & MIS: Lead monthly closure of Books of Accounts and prepare
monthly P&L; accounts and presentation decks.
● Strategic Reporting: Prepare quarterly Horizon-Margin Analysis and Board Meeting
Presentation Decks.
● Audit & Compliance: Address queries from Internal and Statutory auditors; ensure
compliance with Foreign Travel policies and account for foreign tour expenses.
● ● Operations & Collections: Follow up with customers for payments, track collections, and
liaison with partners for profit-share reviews.
● Global Coordination: Coordinate with Regulatory, Pharmacovigilance, International
Marketing, and Logistics teams for business operations and fee payments.
● Treasury & Advances: Manage vendor payments and investments (approved by NA
Chairman) and track/recover overdue forex advances.
JOB REQUIREMENTS
● Minimum 4–7 years of experience specifically within the Pharmaceutical
● Well-conversant with SAP ECC/HANA.
● Highly proficient in preparing PowerPoint presentations with complex charts,