Job
Description
Role Overview: As a finance professional in our team, you will be responsible for managing financial analysis, strategic planning, and communication with stakeholders. Your contribution to the long-term success of the function and the overall organization will be crucial. Key Responsibilities: - Analyze financial data and key performance indicators (KPIs), identify trends, and develop financial models to assess the company's financial performance and outlook, providing insights into business performance drivers. - Provide financial insights and recommendations to support business decisions, resource allocation, and performance improvement initiatives. - Analyze market trends, financial statements, industry data, and Peers/Competitors Benchmarking to provide actionable insights. - Prepare presentations for various stakeholders, including founders, CXOs, Board members, Investors, and Analysts. - Work on various business projections, scenarios, and business modeling required for projections, potential investments, evaluation of valuation of business/company, or other purposes. - Respond to queries from investors/analysts/media in a timely and effective manner. - Conduct/facilitate investor/analyst interactions through various formats like one-on-one/group meetings, conferences, non-deal roadshows, etc. - Assist the secretarial team in ensuring relevant Stock Exchange compliances and filings, and provide inputs for Board meetings/AGM. - Develop and implement performance measurement frameworks, dashboards, and reporting tools for timely and accurate performance analysis and reporting. - Conduct variance analysis and identify areas of improvement or risks to the financial plan. - Drive performance improvement initiatives by collaborating with business leaders to develop action plans, set targets, and monitor progress. Qualifications Required: - Bachelor's or Master's degree in finance, accounting, economics, or a related field. An MBA or relevant professional certifications (such as CA, CFA, or CPA) may be preferred. - Extensive experience in financial planning and analysis, investment banking, equity research, investor relations, or a related field. - Strong financial modeling, analytical, and problem-solving skills. - In-depth understanding of financial statements, financial metrics, and performance measurement techniques. - Excellent written and verbal communication skills, with the ability to present complex financial information to various audiences. - Proficiency in financial planning software, data analysis tools, and presentation software. - Attention to detail, ability to work under pressure, and strong organizational skills. Role Overview: As a finance professional in our team, you will be responsible for managing financial analysis, strategic planning, and communication with stakeholders. Your contribution to the long-term success of the function and the overall organization will be crucial. Key Responsibilities: - Analyze financial data and key performance indicators (KPIs), identify trends, and develop financial models to assess the company's financial performance and outlook, providing insights into business performance drivers. - Provide financial insights and recommendations to support business decisions, resource allocation, and performance improvement initiatives. - Analyze market trends, financial statements, industry data, and Peers/Competitors Benchmarking to provide actionable insights. - Prepare presentations for various stakeholders, including founders, CXOs, Board members, Investors, and Analysts. - Work on various business projections, scenarios, and business modeling required for projections, potential investments, evaluation of valuation of business/company, or other purposes. - Respond to queries from investors/analysts/media in a timely and effective manner. - Conduct/facilitate investor/analyst interactions through various formats like one-on-one/group meetings, conferences, non-deal roadshows, etc. - Assist the secretarial team in ensuring relevant Stock Exchange compliances and filings, and provide inputs for Board meetings/AGM. - Develop and implement performance measurement frameworks, dashboards, and reporting tools for timely and accurate performance analysis and reporting. - Conduct variance analysis and identify areas of improvement or risks to the financial plan. - Drive performance improvement initiatives by collaborating with business leaders to develop action plans, set targets, and monitor progress. Qualifications Required: - Bachelor's or Master's degree in finance, accounting, economics, or a related field. An MBA or relevant professional certifications (such as CA, CFA, or CPA) may be preferred. - Extensive experience in financial planning and analysis, investment banking, equity research, investor relations, or a related field. - Strong financial modeling, analytical, and problem-solving skills. - In-depth understanding of financial statements, financial metrics