- Prepare weekly, fortnightly and monthly cash flow budgets in coordination with individual departments and consolidate them into the overall corporate budget within defined timelines.
- Prepare analytical reports for executive leadership and support management in strategic decision-making.
- Create, update and maintain financial models and detailed forecasts for the companys future operations.
- Analyse historical financial performance against budgets and forecasts and conduct variance analysis to identify key performance gaps and improvement areas.
- Develop 3–5 year financial forecasts, including growth plans, capital expenditure and investment requirements.
- Monitor key financial KPIs including sales, expenditure and profit margins and identify the reasons for unexpected variances.
- Develop and continuously improve budgeting, financial projections and operating forecasts for existing and recent projects.
- Support the implementation of business intelligence tools and dashboard reporting across business functions.
- Provide data-driven financial analysis and insights to the management team and Heads of Departments.
- Coordinate with various departments to analyse and review budgets in accordance with financial approval and delegation processes.
- Support the finance function in aligning business requirements with accounting and financial processes.
📌 Financial Planning & Analysis Manager (Mumbai)
🏢 The House of Abhinandan Lodha
📍 Mumbai
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