Posted:14 hours ago| Platform: Linkedin logo

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Work Mode

On-site

Job Type

Full Time

Job Description

  • Plan, organize, and execute financial tasks and projects of the organization.
  • Make estimates of funds required for the short and long-term financial objectives of the organization.
  • Complete financial reports, lead the month-end closing process and conduct monthly financial forecast.
  • Collaborating with tax advisors to develop tax planning strategies and ensuring compliance with tax laws and regulations.
  • Developing and monitoring budgets, forecasting & tracking expenses, and implementing cost control measures to ensure financial targets are met.
  • Developing and implementing financial plans, budgets, and forecasts. Analyzing financial data, identifying trends, and providing insights to support strategic decision-making.
  • Achieve a proper mix of equity and debt to minimize cost and maximize operational profit.
  • Responsible for ensuring all Statutory Requirement are adhered to and all documentations related to annual & half yearly returns are filed & maintained accurately.
  • Strategize on fund procurement through banks and other financial institutions.
  • Prudently make investments in assets that maximize returns.
  • Provide financial insight and analysis to drive the business performance of the organization.
  • Manage and monitor metrics, KPI tracking, and reports.
  • Evaluate the financial performance of the organization and measure returns on investments.
  • Understand and calculate the risks involved in the financial activities of the organization.
  • Collaborating with tax advisors to develop tax planning strategies and ensuring compliance with tax laws and regulations.
  • Developing and monitoring budgets, forecasting & tracking expenses, and implementing cost control measures to ensure financial targets are met.
  • Developing and implementing financial plans, budgets, and forecasts. Analyzing financial data, identifying trends, and providing insights to support strategic decision-making.

Qualification & Other Requirements

  • Must be a certified CA (Chartered Accountant).
  • 8–10+ years of progressive experience in finance, with at least 5 years in a senior managerial role.
  • Experience in IT, Manufacturing, Services, or related sectors is an added advantage.
  • Strong knowledge of Corporate Finance Principles & Laws, Financial Modelling, and Performance Management.
  • Proficiency in ERP systems, MIS reporting, and Financial Analytics.
  • High integrity, attention to detail, and strategic thinking capabilities.
  • Strong analytical ability, forecasting skills, and financial modelling exposure.
  • Effective leadership, negotiation skills, decision making abilities and stakeholder management.
  • High integrity, problem-solving mindset, and ability to work in fast-paced environments.

 


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