Cash Flow Manager

6 - 11 years

8 - 13 Lacs

Mumbai

Posted:2 days ago| Platform: Naukri logo

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Skills Required

ERP Treasury management Financial reporting Cash flow management Strategic planning Cash flow Cash management Budgeting Risk management Forecasting

Work Mode

Work from Office

Job Type

Full Time

Job Description

Aris Infra is a new-age material procurement and smart financing platform for infrastructure and construction companies. They provide a full-stack solution to customers, offering the best pricing, reliable supply, and flexible credits. Customers can purchase a wide range of unfinished and finished products from Aris Infra, including Cement, Steel, Ready Mix Concrete (RMC), Aggregates, Construction Chemicals, Electricals, and Paints. Key Responsibilities: Cash Flow Management: Monitor and manage the companys daily cash position, ensuring adequate liquidity for day-to-day operations. Cash Forecasting: Prepare and maintain short-term and long-term cash flow forecasts, working closely with various departments to understand cash needs. Working Capital Optimization: Identify opportunities to optimize working capital, including managing accounts receivable and accounts payable processes. Cash Flow Reporting: Develop and present regular cash flow reports to senior management, highlighting potential cash shortfalls or surpluses. Risk Management: Identify potential cash flow risks and recommend strategies to mitigate those risks, including the use of credit facilities or other financial instruments. Collaboration with the Finance Team: Work closely with the accounting and finance teams to ensure accurate record-keeping and financial reporting. Budgeting Support: Assist in the preparation of budgets and financial plans, providing insights into how cash flow can align with business objectives. Strategic Planning: Contribute to financial decision-making by providing insights into how cash flow can support or limit strategic initiatives. Qualifications: Education: A Bachelor s degree in Finance, Accounting, Economics, or related field. A Masters degree or professional certifications (e.g., CA, CFA) is a plus. Experience: At least 6 years of experience in finance or accounting roles, with a focus on cash management or treasury functions. Technical Skills: Proficiency in financial modeling, forecasting, and financial software (e.g., Excel, ERP systems, cash management tools). Analytical Skills: Strong analytical abilities, with experience in interpreting financial data and making recommendations based on analysis. Communication Skills: Excellent written and verbal communication skills, with the ability to present complex financial data in a clear and understandable way to non-financial stakeholders. Attention to Detail: High attention to detail and accuracy, with a strong ability to spot discrepancies or issues in financial records. Desired Skills: Experience with cash flow forecasting and treasury management systems. Experience with cash flow forecasting and treasury management systems. Strong problem-solving skills and the ability to make data-driven decisions. Knowledge of financial regulations and compliance requirements. Ability to work collaboratively with cross-functional teams. Were looking for you to be a part of our team Please send your resume (along with the name of the position) to us at - careers@arisinfra.one Choosing a selection results in a full page refresh. Opens in a new window.

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