Key Member alongwith Management in preparing business plans and developing strategies for Businesses.
Primary objective to achive the financial goal of business/es
Financial Modeling of Businesses and reviewing to achive the set targets
M&A Experience (tax, legal & structure) Expertise in planning financial due diligence and the legal due diligence process.
Oversee several businesses/segment for group vision.
Manage treasury and investments in other assets
Understanding of raising debt vide banks for of long term /short term tenure.
Managing the cash flow of the business ensuring efficient utilization of resources.
Liaison with Banks and Financial institutions and preparation of financial proposals for raising working capital finance as well as term lending.
Financial planning & Fund raising from Banks and financial institutions for new projects and existing projects, Debt re-structuring.
Managing treasury function involving optimum utilisation of surplus funds in profitable investments to achieve higher returns, ensuring minimum liquidity position.
Budgeting, planning & forecasting, MIS, Direct & indirect tax planning, Internal control, systems & procedures, SOPs etc.
Handle taxation matters including liaison with tax authorities.
Financial advisor to the business in contract.
Proficiency in financial accounting & reporting, including external statutory reporting and Audit
Excellent interpersonal communication at all levels (verbal and written)
Experience : 1 - 3 Years
No. of Openings : 2
Education : CA
Role : Chartered Accountant
Industry Type : Banking / Financial Services / Stock Broking
Gender : Male
Job Country : India