We are looking for a qualified Chartered Accountant to manage Finance & Accounts, Treasury Operations, Financial Reporting, MIS, Budgeting, and Regulatory Compliance. The role requires close coordination with internal stakeholders to support business growth and financial governance.
Key Responsibilities
- Manage books of accounts and ensure compliance with Accounting Standards and regulatory requirements.
- Prepare monthly, quarterly, and annual financial statements and MIS reports.
- Handle treasury operations, cash flow planning, and banking relationships.
- Capable of ensuring resource mobilization including establishing relationship with recent lenders.
- Ensuring compliance with lenders covenant and sanction terms.
- Asset Liability Management including drafting agenda and preparation of regulatory returns.
- Prepare projections, budgets, forecasts, financial projections, and variance analysis.
- Coordinate with auditors and ensure timely statutory and regulatory compliance.
Qualification & Experience
- Chartered Accountant (CA) – Mandatory.
- 5 years of post-qualification experience in Finance & Accounts (mandatorily exposure in treasury and fund raising)
- Experience in NBFC, Fintech, Banking, or Financial Services preferred.