Financial Strategy and Planning:
- Develop and implement financial strategies aligned with the company's short-term and long-term goals.
- Provide financial insights to support decision-making at the executive and board levels.
Budgeting and Forecasting:
- Lead the annual budgeting process, working closely with department heads to allocate resources effectively.
- Provide accurate and timely financial forecasts to guide business planning.
Financial Reporting and Analysis:
- Prepare and review monthly, quarterly, and annual financial statements in compliance with GAAP.
- Conduct in-depth financial analysis to identify trends, variances, and opportunities for improvement.
Compliance and Risk Management:
- Ensure compliance with local, state, and federal financial regulations and reporting requirements.
- Implement and monitor internal controls to mitigate financial risks and safeguard company assets.
Cash Flow Management:
- Monitor and manage cash flow to maintain adequate liquidity for operational needs.
- Develop strategies to optimize cash management and working capital efficiency.
Investment and Financing Strategies:
- Evaluate investment opportunities, mergers, acquisitions, and partnerships.
- Manage relationships with financial institutions, negotiate financing terms, and oversee debt and equity transactions.
Investor Relations:
- Act as the primary point of contact for investors and analysts.
- Develop and maintain investor relations strategy and communications plan.
- Coordinate investor meetings, presentations, and conference calls.
Banking and Financial Institution Relations:
- Cultivate and maintain solid relationships with banking partners.
- Negotiate and manage banking services, including credit facilities, treasury services, and lines of credit.
- Monitor banking industry trends and recommend strategies for optimizing financial services.
Stakeholder Communication:
- Communicate financial results and
📌 Sr Manager Finance-Mumbai
🏢 Corporate Stalwarts
📍 Mumbai
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