Overview –
Stemz Group, with its diversified global presence across manufacturing, healthcare, IT, and human resources, is seeking a seasoned Senior Manager- Finance. This person will play a critical role in ensuring reliable, accurate, and timely financial reporting for both internal and external stakeholders, while leading the finance team and driving process improvements. The individual will be proficient in global accounting operations, consolidation, transfer pricing, taxation, treasury management, and auditing.Key Responsibilities
Provide senior finance leadership for all global financial processes executed across locationsManage and lead the global finance team, ensuring efficiency and accuracy in operationsOversee and direct global transactional accounting including general ledger, accounts payable, accounts receivable, fixed assets, and bank accountsSupervise treasury, global tax compliance (income tax, VAT), statutory reporting, and external auditsLead and manage internal controls, ensuring the integrity of financial reporting and complianceManage the full cycle month-end closing process and financial consolidationPrepare balance sheet, profit-and-loss statement, and cash flow statement in line with closing schedulesExecute monthly, quarterly, and annual consolidated financial statements in a multi-currency environmentMaintain alternate books of account including Indian GAAP and Philippines GAAPExecute transfer pricing processes, including intercompany revenue/expense calculations and reconciliationsOversee treasury operations, including SBLC and CC limit managementLead global and interim annual financial statement audits, liaising with auditors across regionsProvide monthly financial reporting with management analysis and insights on revenue and cost driversEnsure timely and accurate preparation of corporate, VAT, and sales tax submissionsDrive financial planning, forecasting, and budgeting exercises for managementChampion process improvements and implement best practices across finance operationsCoach, develop, and mentor finance staff (analysts/accountants) both in-person and remotelyPrepare and review customized financial reports for internal and external stakeholdersProvide strategic financial support for capital allocation, business decisions, and expansion initiativesOther duties as assigned by managementQualifications & Experience
Chartered Accountant (CA) qualification is mandatory12+ years of overall experience with at least 10 years post-CA qualificationStrong expertise in IFRS and Indian GAAP complianceProven experience in global consolidation of accounts, transfer pricing, taxation, and auditingHands-on experience with treasury management including SBLC and CC limitsExperience in multi-currency reporting and financial modellingStrong leadership and people management skillsKey Skills
Consolidation of group accountsTransfer pricing and intercompany reconciliationsTreasury management including SBLC and CC limitsTaxation (Corporate, VAT, Sales Tax) and AuditingFinancial modelling and forecastingStrong analytical and problem-solving abilitiesExcellent communication and interpersonal skillsAbility to lead, coach, and develop finance teams across geographiesReporting Line
Reports directly to the Financial Controller.