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About Supercfo Advisory Services

Super CFO Advisory Services provides financial consulting and advisory services to businesses, helping them optimize financial performance and achieve strategic goals.

FP&A - ( Part Time)

Bengaluru

4 - 8 years

INR 18.0 - 30.0 Lacs P.A.

Remote

Full Time

About the Company: As a publicly listed global leader in the elevator and escalator industry, this company specializes in the manufacturing, installation, and servicing of vertical transportation systems. With operations spanning more than 200 countries and territories, the company plays a critical role in enhancing mobility in some of the most iconic buildings and busiest transit hubs worldwide. Its comprehensive offerings include advanced elevator and escalator systems, modernization solutions, and 24/7 service support, all delivered through a commitment to safety, innovation, As a publicly listed global leader in the elevator and escalator industry, this company specializes in the manufacturing, installation, and servicing of vertical transportation systems. With operations spanning more than 200 countries and territories, the company plays a critical role in enhancing mobility in some of the most iconic buildings and busiest transit hubs worldwide. Its comprehensive offerings include advanced elevator and escalator systems, modernization solutions, and 24/7 service support, all delivered through a commitment to safety, innovation, and sustainability. and sustainability. Roles and Responsibilities: Financial Planning & Analysis Develop and maintain detailed financial models to support budgeting and forecasting Analyze monthly performance against budgets and provide variance commentary Evaluate financial and operational metrics to identify trends and improvement areas Support annual planning process by consolidating inputs from cross-functional teams Deliver actionable insights to senior management through financial analysis and presentations Business Partnering Collaborate with Singapore and India finance teams Support manufacturing plant leadership with cost analysis and operational KPIs Assist business units with financial guidance for strategic and tactical decisions Translate complex financial data into clear recommendations Reporting & Management Information Prepare monthly management reports with key financial indicators and insights Ensure accuracy and timeliness of internal reporting to meet corporate deadlines Support development of dashboards and reporting tools for business visibility Cost & Plant Finance Work closely with plant team in Bangalore to review production costs and variances Analyze cost drivers and support initiatives to improve cost efficiency Conduct regular site visits to understand operations and validate financial assumptions Process Improvement Identify opportunities to automate and streamline FP&A processes Support implementation of best practices in reporting, planning, and analysis Contribute to continuous improvement in data accuracy and system usage Qualifications: CA, MBA or CFA preferred 6-10 years of experience in FP&A, preferably in manufacturing or industrial sectors Strong analytical and problem-solving skills with ability to interpret complex data Effective communication and presentation skills Proven ability to work collaboratively in a dynamic, team-oriented environment Detail-oriented with strong organizational and time management abilities

Accountant

Mumbai, Navi Mumbai, Mumbai (All Areas)

2 - 5 years

INR 3.75 - 5.0 Lacs P.A.

Work from Office

Full Time

Interested candidates can apply from given link :- https://bit.ly/4kyfsQz About the Company : Established in 2003 and headquartered in Singapore, this privately owned enterprise has emerged as a leading distributor of globally recognized mobile phone, IT, and consumer electronics brands across the Southeast Asia region. With a robust annual revenue of USD 100 million, the company operates in 12 countries through both wholly staffed offices and strategic partnerships, supporting major brands such as Apple, Dell, HP, and HTC. Its presence extends through key markets including Sri Lanka, Myanmar, Nepal, and Bangladesh, while maintaining dedicated account management in regions such as the Maldives, Mongolia, and Pakistan. The organization is committed to delivering exceptional service through its customer-focused sales approach, regional training programs that align with international standards, and close collaboration with network operators and local distributors to ensure comprehensive market coverage. Driven by a culture rooted in integrity and excellence, the company continues to innovate its operations and expand its capabilities to meet evolving customer and stakeholder expectations. Roles and Responsibilities : Accounting Operations Review and post daily accounting entries across systems, ensuring accuracy and consistency Monitor and manage expense records, vendor payments, and customer invoices Perform periodic reconciliations of customer and vendor ledgers to resolve discrepancies Maintain documentation and audit trails for all financial transactions General Ledger & Reporting Support timely and accurate month-end and year-end closing of general ledgers Assist in the preparation of monthly financial statements and internal reports Ensure compliance with global accounting and reporting standards Cash & Liquidity Management Track and manage daily cash inflows and outflows to maintain adequate liquidity Coordinate with banks and financial institutions for timely settlements Forecast cash requirements and flag variances to management Trade Finance & Documentation Review trade finance applications for accuracy and completeness before submission Coordinate delivery of shipment and financial documents to meet funding timelines Monitor and ensure timely settlement of trade finance obligations Audit & Compliance Prepare audit schedules and documentation for internal and external audit processes Coordinate with auditors and respond to information requests in a timely manner Ensure adherence to internal controls and compliance standards Process Improvement & Support Contribute to finance-related process enhancements and automation initiatives Support cross-functional teams with financial insights and data as needed Undertake ad hoc tasks and projects as assigned by finance leadership Qualifications : Bachelors degree in Accounting, Finance, or related field; CA Inter or equivalent certification preferred 25 years of experience in accounting and finance, preferably within sales and distribution Strong knowledge of general ledger management, reconciliations, and financial reporting Understanding of trade finance processes and cross-border financial operations Excellent analytical, problem-solving, and attention-to-detail skills Effective communication and teamwork abilities; able to support cross-functional initiatives

Accountant

Mumbai

4 - 5 years

INR 6.0 - 7.0 Lacs P.A.

Work from Office

Full Time

Seeking an experienced Accountant to support finance operations in India, ensuring accurate accounting, timely reporting, and compliance across cross-border transactions. The role requires strong ERP proficiency and plays a key role in maintaining financial discipline and supporting business decision-making. Key Responsibilities: Daily Financial Oversight: Manage and review day-to-day accounting entries across multiple systems andtrackers, ensuring completeness and data integrity. General Ledger Management: Ensure timely and accurate month-end closing of general ledgers in line with internalschedules and global reporting standards. Reconciliation Discrepancy Resolution: Conduct periodic reviews of customer and vendor ledgers; identify, investigate, and flagdiscrepancies, ensuring timely resolution. Cash Flow Monitoring: Oversee daily cash inflow/outflow to support effective liquidity management and timelysettlements with vendors, partners, and financial institutions. Trade Finance Coordination: Review Trade Finance (TF) applications for accuracy and completeness beforesubmission. Ensure timely delivery of shipment documents and on-schedule settlementof TF obligations. Financial Reporting: Assist in the preparation of monthly financial reports, providing critical insights tosupport business planning and performance tracking. Audit Support: Coordinate with internal and external auditors for interim and year-end audits; preparenecessary schedules and respond to audit queries. Special Projects Support: Participate in finance-related initiatives, process improvements, and any ad hoc dutiesas required by management. Ideal Candidate Profile: Strong foundation in accounting principles and financial controls. Hands-on experience with ERP systems (SAP/Tally or similar) and advanced Excelskills. Ability to manage high volumes of data with precision and timeliness. Effective communicator with a collaborative mindset and a proactive attitude. Experience in cross-functional coordination and working in a regional or global businesssetting is a plus

Assistant Finance Manager

Kolkata, Mumbai, New Delhi, Hyderabad, Pune, Chennai, Bengaluru

2 - 5 years

INR 4.0 - 7.0 Lacs P.A.

Work from Office

Full Time

Seeking an experienced Finance to support operations in India, ensuring accurate accounting, timely reporting, and compliance across cross-border transactions. The role requires strong ERP proficiency and plays a key role in maintaining financial discipline and supporting business decision-making. Key Responsibilities: Strategic Financial Oversight: Lead the daily accounting operations and ensure real-time tracking of financial transactions across various accounting platforms. Maintain financial data integrity to support business operations and informed decision-making. General Ledger Management & Financial Accuracy: Oversee the timely and accurate closure of general ledgers, ensuring adherence to global reporting timelines. Collaborate with cross-functional teams to align financial data with business requirements and performance goals. Accounts Reconciliation & Risk Mitigation: Conduct comprehensive reviews of customer and vendor ledgers on a weekly and monthly basis, proactively identifying and addressing discrepancies. Implement risk mitigation strategies to ensure smooth financial operations. Cash Flow Optimization & Liquidity Management: Monitor and analyze daily cash inflows and outflows to ensure robust cash flow management. Work closely with key stakeholders to ensure the timely and efficient settlement of payments to vendors and financial institutions. Trade Finance Coordination & Compliance: Review and validate Trade Finance (TF) applications before submission to the bank. Ensure compliance with all trade documentation requirements, with a focus on meeting deadlines for pre/post-shipment submissions and TF settlements. Financial Reporting & Analysis: Assist in the preparation and analysis of monthly financial reports, providing actionable insights to senior management. Support strategic business planning by ensuring that financial data accurately reflects business performance and growth initiatives. Audit & Compliance Support: Play a key role in facilitating interim and annual audits. Prepare financial schedules, support audit teams, and ensure timely and accurate compliance with regulatory standards. Process Improvement & Strategic Support: Contribute to the continuous improvement of financial processes and systems. Support ad hoc financial projects, offering recommendations for enhancing operational efficiency, cost-saving measures, and overall financial performance Requirements Ideal Candidate Profile: Proven experience in managing financial operations, with a deep understanding of accounting principles, financial reporting, and cash flow management. Hands-on expertise in using ERP systems (SAP, Tally, etc.), with advanced proficiency in Excel. Strong analytical skills and a strategic mindset to drive improvements and mitigate financial risks. Excellent communication and collaboration skills, with the ability to influence decisions and work across multiple functions. A proactive and forward-thinking individual who can take ownership of financial processes while aligning with the broader business objectives.

Virtual Chief Finance Officer

Ahmedabad

15 - 20 years

INR 30.0 - 40.0 Lacs P.A.

Work from Office

Full Time

Interested candidates can join from this link - https://bit.ly/3ZiSEw7 About the Company: With over two decades of industry presence, this privately-owned steel manufacturing enterprise has established a strong reputation for producing and exporting high-quality ERW pipes, galvanized, and pre-galvanized pipes. Serving a broad spectrum of industry verticals, the company is committed to delivering products that are not only durable and reliable but also aligned with evolving technological and environmental standards. Backed by an advanced manufacturing infrastructure equipped with state-of-the-art machinery, it adopts an agile approach to meet the dynamic needs of global markets. Every product undergoes stringent quality testing to ensure long-term performance and application success. With an annualized revenue of 390 crores and a growing international footprint, the company continues to reinforce its position as a trusted partner in the steel tubing sector, focused on innovation, precision, and sustainable solutions. Roles and Responsibilities: Financial Leadership & Strategy Shape and execute the companys financial strategy aligned with business goals Partner with the CEO and Board on strategic decision-making and long-term planning Provide financial insights to support key operational and commercial initiatives Assess and manage risks to ensure financial sustainability and growth Fundraising & Stakeholder Management Lead preparation for equity/debt fundraising, including financial modeling and investor materials Engage with potential investors, lenders, and financial advisors during fundraising process Represent finance in strategic discussions with partners, vendors, and external stakeholders Maintain strong relationships with banks, auditors, and regulatory bodies Financial Planning & Analysis Oversee development of annual budgets, rolling forecasts, and scenario planning Implement robust FP&A processes to drive data-driven decision-making Review and refine monthly MIS to ensure timely and accurate performance reporting Analyze key business drivers and provide actionable financial insights to management Accounting, Controls & Compliance Supervise accounting operations to ensure timely and accurate financial closing Ensure adherence to Indian accounting standards and regulatory requirements Strengthen internal controls and compliance systems across the finance function Coordinate with auditors for smooth and timely completion of statutory audits Systems & Process Improvement Evaluate and enhance finance systems, reporting tools, and automation capabilities Standardize financial procedures to improve efficiency, accuracy, and transparency Drive implementation of best practices in cost control, working capital, and cash flow management Monitor and refine processes to support scalability and readiness for external investment Qualifications: MBA in Finance or Chartered Accountant (CA) qualification required 1525 years of progressive finance leadership experience, preferably in the steel or manufacturing sector Strong expertise in financial planning, budgeting, treasury, and risk management Proven ability to drive strategic growth, optimize capital structure, and ensure regulatory compliance Excellent communication and stakeholder management skills, including board-level interaction Strong leadership, team development, and cross-functional collaboration capabilities

Virtual CFO (RT - LX6BY6)

Ahmedabad

15 - 20 years

INR 22.5 - 27.5 Lacs P.A.

Work from Office

Full Time

This is a strategic CFO position for a steel manufacturing company based in Ahmedabad, requiring 1525 years of finance leadership experience. The role involves driving financial strategy, overseeing fundraising and stakeholder relations, ensuring compliance, and optimizing systems to support sustainable growth. The position reports directly to the Managing Director and is structured as an ongoing retainer engagement. Roles and Responsibilities: Financial Leadership & Strategy Shape and execute the companyfinancial strategy aligned with business goals Partner with the CEO and Board on strategic decision-making and long-term planning Provide financial insights to support key operational and commercial initiatives Assess and manage risks to ensure financial sustainability and growth Fundraising & Stakeholder Management Lead preparation for equity/debt fundraising, including financial modeling and investor materials Engage with potential investors, lenders, and financial advisors during fundraising process Represent finance in strategic discussions with partners, vendors, and external stakeholders Maintain strong relationships with banks, auditors, and regulatory bodies Financial Planning & Analysis Oversee development of annual budgets, rolling forecasts, and scenario planning Implement robust FP&A processes to drive data-driven decision-making Review and refine monthly MIS to ensure timely and accurate performance reporting Analyze key business drivers and provide actionable financial insights to management Accounting, Controls & Compliance Supervise accounting operations to ensure timely and accurate financial closing Ensure adherence to Indian accounting standards and regulatory requirements Strengthen internal controls and compliance systems across the finance function Coordinate with auditors for smooth and timely completion of statutory audits Systems & Process Improvement Evaluate and enhance finance systems, reporting tools, and automation capabilities Standardize financial procedures to improve efficiency, accuracy, and transparency Drive implementation of best practices in cost control, working capital, and cash flow management Monitor and refine processes to support scalability and readiness for external investment Qualifications: MBA in Finance or Chartered Accountant (CA) qualification required 15 to 25 years of progressive finance leadership experience, preferably in the steel or manufacturing sector Strong expertise in financial planning, budgeting, treasury, and risk management Proven ability to drive strategic growth, optimize capital structure, and ensure regulatory compliance Excellent communication and stakeholder management skills, including board-level interaction Strong leadership, team development, and cross-functional collaboration capabilities

Finance Manager

Bengaluru

5 - 8 years

INR 10.0 - 15.0 Lacs P.A.

Work from Office

Full Time

This role requires expertise in SEBI, NSE, and BSE regulations, along with hands-on experience in budgeting, financial planning, and investor relations. The CFO will play a key role in driving sustainable financial excellence in a fast-paced fintech environment. Key Responsibilities: Manage day-to-day financial operations, including budgeting, forecasting, cash flow management, and reconciliations. Ensure timely and accurate financial reporting in compliance with SEBI, BSE, and NSE guidelines. Maintain robust internal controls and accounting systems. Support statutory and regulatory audits, ensuring full compliance with exchange and SEBI norms. Liaise with NSE, BSE, MCX, NCDEX, CDSL, SEBI, statutory auditors, and internal stakeholders on financial matters. Contribute to financial strategy, process improvements, automation, and system upgrades. Qualifications : CA ,CMA or MBA with 58 years of experience, including prior Finance role in a SEBI-regulated retail broking firm Strong expertise in financial strategy, capital markets, and regulatory financial planning within brokerage operations In-depth knowledge of SEBI, NSE, BSE, and depository compliance norms; hands-on experience with inspections and audits Proven ability to manage financial operations including client fund segregation, capital adequacy, and brokerage reporting Track record of implementing risk controls, audit readiness, and finance-tech automation in trading environments

Chief Financial Officer (T42N7L)

Mumbai

15 - 20 years

INR 20.0 - 27.5 Lacs P.A.

Work from Office

Full Time

Roles and Responsibilities: Financial Strategy & Planning Lead long-term financial planning aligned with business goals and growth targets Develop and oversee annual budgets, forecasts, and financial models Evaluate investment opportunities, capital structure, and funding strategies Provide strategic financial insights to the CEO and Board for decision-making Financial Reporting & Analysis Ensure timely and accurate preparation of financial statements and management reports Oversee financial analysis to monitor performance, identify trends, and address variances Present financial results and forecasts to senior leadership and stakeholders Implement best practices in financial reporting to improve transparency and efficiency Compliance & Risk Management Ensure compliance with financial laws, tax regulations, and statutory requirements Oversee internal audits and coordinate with external auditors Develop and maintain risk management frameworks to safeguard company assets Monitor regulatory changes and implement policies to maintain full compliance Leadership & Team Development Lead and mentor the finance, accounts, and compliance teams Establish clear performance goals and drive accountability across the finance function Foster a culture of continuous improvement and financial discipline Collaborate with cross-functional leaders to drive overall business success Stakeholder & Investor Relations Manage relationships with banks, investors, auditors, and regulatory bodies Support fundraising and capital deployment initiatives Ensure accurate financial disclosures and compliance for investor reporting Represent the company in financial discussions with external partners Requirements Qualifications: Bacheloror Masterdegree in Finance, Accounting, or related field; CPA or CFA preferred 20+ years of progressive financial leadership in real estate or turnkey contracting companies Expertise in financial planning, reporting, and analysis with a strong command of financial statements In-depth knowledge of regulatory compliance, financial laws, and risk management Proven leadership in building and managing high-performing finance teams Excellent analytical, strategic thinking, and communication skills with ability to operate on-site in Mumbai

Financial Planning Analyst

Mumbai Suburban, Mumbai (All Areas)

10 - 15 years

INR 15.0 - 20.0 Lacs P.A.

Work from Office

Full Time

About the Company : This privately owned company currently has an annual turnover of 350 crores and is aiming to grow to 1,000 crores over the next 2 years. It is a leading name in Indias interior contracting and turnkey project space, handling premium projects across sectors such as airport terminals, corporate offices, luxury homes, retail stores, hotels, hospitals, schools, and large urban developments. The company offers end-to-end services including interior works, architecture, design, and project management. It is a trusted partner for several major business groups in India and is known for delivering high-quality work with a strong focus on design, timely execution, and client satisfaction. The company continues to help shape modern, well-designed spaces across India’s real estate and infrastructure landscape. Roles and Responsibilities : Financial Planning & Analysis Lead the preparation of annual budgets, forecasts, and long-range plans across business units Develop and maintain advanced financial models to assess business cases, pricing strategies, and project profitability Perform scenario planning and sensitivity analyses to evaluate financial risks and opportunities Drive variance analysis, highlighting key deviations and recommending corrective actions Performance Management Design and implement dashboards and KPIs to monitor operational and financial performance Lead the monthly reporting process including MIS packs, flash reports, and key metrics for leadership review Identify performance gaps and propose strategic and operational improvements Stakeholder Engagement Support CFO and senior finance leaders in strategic reviews, capital allocation, and pipeline assessments Collaborate with cross-functional teams to gather inputs for financial planning and ensure alignment with business goals Prepare materials and financial updates for banks, investors, and lenders Controls & Governance Own the finance reporting calendar to ensure timely and accurate delivery of reports Ensure consistency and integrity of financial data used for internal and external reporting Support compliance with internal controls and financial policies during planning and forecasting activities Qualifications : MBA in Finance or Chartered Accountant (CA) preferred 10–15 years of experience in FP&A, preferably within real estate or contracting sectors Expertise in financial modeling, budgeting, forecasting, and performance analysis Strong analytical skills with ability to conduct sensitivity analyses and scenario planning Proven experience in MIS reporting, dashboard creation, and variance analysis Excellent communication and collaboration skills for engaging with senior leadership and external stakeholders

Finance controller

Mumbai Suburban, Mumbai (All Areas)

10 - 15 years

INR 40.0 - 45.0 Lacs P.A.

Work from Office

Full Time

Interested Candidates can apply from this link - http://bit.ly/44RJedY About the Company : This privately owned company currently has an annual turnover of 350 crores and is aiming to grow to 1,000 crores over the next 2 years. It is a leading name in Indias interior contracting and turnkey project space, handling premium projects across sectors such as airport terminals, corporate offices, luxury homes, retail stores, hotels, hospitals, schools, and large urban developments. The company offers end-to-end services including interior works, architecture, design, and project management. It is a trusted partner for several major business groups in India and is known for delivering high-quality work with a strong focus on design, timely execution, and client satisfaction. The company continues to help shape modern, well-designed spaces across Indias real estate and infrastructure landscape. Roles and Responsibilities : Financial Operations & Systems Establish and enforce SOPs for all finance-related activities to ensure process consistency Oversee accurate and timely monthly, quarterly, and annual financial closures Lead the migration from Tally to a scalable ERP or cloud-based accounting platform Ensure integrity and accuracy of financial data across systems and reports Compliance & Internal Controls Drive adherence to all statutory, tax, and regulatory frameworks with zero-tolerance for non-compliance Design and maintain robust internal controls and governance mechanisms Ensure audit readiness and coordinate effectively with internal and external auditors Financial Planning & Analysis Support leadership with financial insights, forecasts, and scenario analysis for decision-making Implement and manage a costing framework to enable project profitability analysis Monitor financial KPIs and drive fiscal discipline across departments Treasury & Banking Manage relationships with banks and financial institutions to secure optimal funding terms Evaluate term sheets, negotiate credit arrangements, and ensure cost-effective working capital management Oversee cash flow planning and liquidity management to support business operations Commercial Oversight Participate in key vendor and client negotiations to protect and enhance financial outcomes Ensure commercial terms align with company objectives and financial prudence Review contracts and agreements from a financial risk and compliance lens Qualifications : Bachelors degree in Finance or Accounting; CA or equivalent professional certification required 15-25 years of experience in financial leadership roles, preferably in real estate or contracting industries Proven expertise in financial controls, statutory compliance, and audit readiness Strong experience in ERP migration, SOP implementation, and monthly/quarterly closures Demonstrated ability to manage banking, credit negotiations, and working capital optimization Excellent communication, stakeholder management, and team leadership skills

Finance Analyst (FP&A) (0VH2LU)

Kolkata, Mumbai, New Delhi, Hyderabad, Pune, Chennai, Bengaluru

2 - 7 years

INR 4.0 - 9.0 Lacs P.A.

Work from Office

Full Time

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Finance Controller (BLX8QB)

Kolkata, Mumbai, New Delhi, Hyderabad, Pune, Chennai, Bengaluru

2 - 7 years

INR 4.0 - 9.0 Lacs P.A.

Work from Office

Full Time

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Virtual CFO (PKI11L)

Kolkata, Mumbai, New Delhi, Hyderabad, Pune, Chennai, Bengaluru

2 - 7 years

INR 4.0 - 9.0 Lacs P.A.

Work from Office

Full Time

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Supercfo Advisory Services

Supercfo Advisory Services

Supercfo Advisory Services

Financial Services

Finance City

50-100 Employees

13 Jobs

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