03 Oct
|
Hirepedia
|
Delhi
Our client, a quick-growing consumer brand , is looking for a Corporate Finance Manager to take ownership of financial reporting, audits, treasury, compliance, and investor requirements.
This role is ideal for a Chartered Accountant with 2–5 years of post-qualification experience who enjoys hands-on finance ownership, working with senior stakeholders, and building processes that can support a growing business.
What you’ll do
Own financial reporting and month-end closing: Ensure timely and accurate financial statements, MIS, reconciliations, and analysis to support business decisions.
Manage audits and due diligence: Coordinate statutory and internal audits, prepare supporting schedules, address queries, and drive closure of audit observations.
Oversee treasury and banking: Manage cash flow planning, banking relationships, loans, and funding-related documentation.
Drive taxation and compliance: Coordinate tax requirements and corporate compliance with internal teams and external advisors.
Support investor and leadership requirements:
Prepare financial information and respond to requests from investors, advisors, bankers, and senior management.
Strengthen finance processes and controls: Identify gaps, improve workflows, and build scalable processes that maintain accuracy and accountability as the business grows.
What we’re looking for
Chartered Accountant with 2–5 years of post-qualification experience.
Solid hands-on experience in financial reporting, month-end closing, MIS, reconciliations, and audits .
Experience supporting due diligence and investor-related financial requirements .
Working knowledge of treasury, cash flow management, banking, taxation, and corporate compliance .
Strong Excel and financial analysis skills , along with familiarity with ERP systems.
Transparent communication and the ability to manage stakeholders across internal teams and external partners.
📌 Corporate Finance Manager Delhi
🏢 Hirepedia
📍 Delhi