Head – Corporate Finance & Strategic Finance
Location: Hyderabad
Experience: 12–18+ Years
Qualification: CA + CS mandatory
Industry Preference: Real Estate / Infrastructure / Hospitality / Investment / NBFC / PE-backed businesses
Role Overview
We are looking for a senior finance professional to lead Corporate Finance, Fundraising, Investor Relations, Financial Strategy, Cash Flow Management, Financial Transactions and Capital Management for a rapidly growing diversified business.
The role will work closely with the Promoters, Board and Senior Leadership Team, driving fundraising, capital structuring, investor relationships, cash-flow planning, financial transactions, strategic finance, M&A; and overall financial strategy.
Key Responsibilities
1. Corporate Finance & Financial Strategy
- Lead corporate finance strategy aligned with business growth plans.
- Drive budgeting, forecasting, financial planning and long-term financial modelling.
- Evaluate acquisitions, investments, expansions and strategic opportunities.
- Provide financial insights and recommendations to the Promoters and Board.
- Monitor overall financial performance, profitability and capital allocation.
2. Cash Flow & Treasury Management
- Lead overall cash-flow management and liquidity planning across the organization.
- Prepare and monitor short-term and long-term cash-flow forecasts.
- Ensure availability of funds for business operations, projects, acquisitions and strategic initiatives.
- Monitor daily/weekly cash positions, inflows, outflows and funding requirements.
- Optimize working capital, receivables, payables and cash utilization.
- Coordinate with banks and financial institutions for fund movements, working capital facilities and treasury requirements.
- Identify potential cash-flow gaps and proactively develop funding solutions.
- Ensure effective utilization and deployment of available funds.
3. Financial Transactions & Capital Management
- Oversee and manage significant financial transactions, including debt, equity, structured finance, investments, acquisitions and refinancing.
- Review and approve transaction structures from a financial and commercial perspective.
- Monitor movement of funds and ensure proper financial controls around major transactions.
- Evaluate transaction costs, returns, risks and financial implications.
- Coordinate with banks, investors, legal advisors, tax advisors, consultants and other stakeholders for transaction execution.
- Maintain oversight of financial settlements, fund utilization and transaction closures.
- Drive capital optimization and ensure effective deployment of organizational funds.
4. Fundraising & Capital Raising
- Lead equity, debt, structured finance and strategic fundraising initiatives.
- Develop relationships with PE funds, family offices, institutional investors, HNIs, banks and financial institutions.
- Prepare investment teasers, Information Memorandums, financial models and investor presentations.
- Lead investor discussions, negotiations, due diligence and transaction closure.
- Structure appropriate debt/equity instruments based on business requirements.
- Manage refinancing and capital optimization initiatives.
5. Investor Relations
- Act as the key point of contact for investors, lenders and financial institutions.
- Build and maintain relationships with existing and prospective investors.
- Present business performance, financial metrics, growth plans and investment opportunities.
- Coordinate investor MIS,
financial reporting and management presentations.
- Manage investor queries and support Promoters in strategic investor discussions.
6. M&A; & Strategic Transactions
- Evaluate acquisitions, takeovers, JVs and strategic investment opportunities.
- Lead financial due diligence and transaction evaluation.
- Work with legal, tax, consulting and investment banking advisors.
- Support valuation, negotiations, deal structuring and transaction closure.
7. Governance & Compliance
- Strengthen financial controls, governance and reporting systems.
- Work closely with statutory auditors, tax advisors, legal counsel and external consultants.
- Ensure compliance with applicable Companies Act, SEBI, FEMA and other regulatory requirements.
- Coordinate with the Company Secretary and relevant stakeholders on corporate governance matters.
Candidate Profile
- CA + CS mandatory.
- 12–18+ years of overall experience, preferably in senior Corporate Finance / Strategic Finance roles.
- Proven track record in fundraising, investor relations, cash-flow management and financial transactions.
- Strong experience in equity, debt, structured finance or institutional capital raising.
- Strong experience in treasury, liquidity, working capital and cash-flow planning.
- Established network with PE/VC funds, family offices, institutional investors, banks and financial institutions.
- Strong financial modelling, valuation and transaction structuring capabilities.
- Experience in M&A;, acquisitions, fundraising or strategic investments.
- Excellent communication, negotiation and presentation skills.
- Strong commercial acumen and ability to work directly with Promoters and Board members.
- Candidates from Real Estate, Infrastructure, Hospitality, NBFC, Investment Banking, PE-backed or diversified business groups will be preferred.
Apply Now
? Email:
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📌 Head Corporate Finance, Fundraising & Investor Relations (Hyderabad)
🏢 Ridhira Group - Building World's largest Wellness Communities
📍 Hyderabad