Financial Planning & Budgeting
Prepare annual budgets, forecasts, and variance analysis.
Align financial plans with business objectives.
Support investment decisions and business case preparation.
Financial Reporting & Compliance
Prepare accurate financial reports and KPI analysis.
Ensure compliance with Ind AS, IFRS, GST, Income Tax, and statutory regulations.
Maintain accurate accounting records and support audits.
Treasury & Cash Flow Management
Manage cash flow, liquidity, receivables, and payables.
Build robust banking relationships and oversee treasury operations.
Negotiate banking facilities and working capital requirements.
Cost Management & Profitability
Monitor budgets and control costs to improve profitability.
Conduct project profitability analysis.
Drive finance process automation and operational efficiency.
Risk Management & Internal Controls
Strengthen internal controls and ensure policy compliance.
Identify and mitigate financial risks.
Safeguard company assets and prevent financial fraud.
Team Leadership
Lead, mentor, and develop the Finance & Accounts team.
Conduct performance reviews and promote a culture of accountability and continuous improvement.
Strategic Support & Stakeholder Management
Present financial insights to management and stakeholders.
Support strategic decision-making through financial analysis.
Liaise with investors, auditors, banks, and cross-functional teams.