India
Not disclosed
On-site
Full Time
Job Title: Senior Manager - F&A delivery Location: India Based (ideally Gurgoan - Hybrid) Job Summary: The company is seeking an experienced and dynamic Senior Manager - F&A delivery to lead and oversee all delivery operations for our UK-based accounts, bookkeeping, and payroll outsourcing customers. This senior role is integral to maintaining commitment to excellence in customer satisfaction and ensuring seamless delivery of services. The CDO will be responsible for endto-end management of service delivery processes, team training, quality assurance, customer issue resolution, and strategic alignment with client expectations. Key Responsibilities: 1. Team Training & Development: With support from MD, develop, implement, and maintain technical training programs for the delivery team, focusing on accounts, bookkeeping, and payroll processes. Ensure team members are up-to-date with industry standards, UK-specific accounting and payroll requirements, and best practices. Foster a culture of continuous improvement and technical competence within the team. 2. Quality Assurance & Review: Conduct regular and random quality reviews of team members' work to ensure accuracy, consistency, and compliance with customer and regulatory standards. Establish and enforce quality metrics to evaluate service delivery and identify areas for improvement. 3. Client Issue Management & Resolution: Serve as the primary escalation point for any issues or concerns raised by clients, ensuring prompt and satisfactory resolution. Collaborate closely with clients to understand their concerns, address issues, and implement corrective actions in coordination with the delivery team. Confidently engage with clients to challenge points of contention when necessary, ensuring maintains professional integrity while prioritizing service quality. 4. Support in Sales Efforts: Assist the on sales calls, providing technical insights and operational knowledge to help secure new business or address prospective client queries. Present delivery capabilities, operational processes, and quality assurance strategies to potential clients. 5. Talent Acquisition & Team Building: Conduct interviews and assessments for senior accountant roles based in our India office, ensuring candidates align with standards and culture. Provide strategic input on team composition and growth, identifying skills needed to strengthen the delivery team’s capabilities. 6. Gap Analysis & Process Improvement: Identify operational gaps or process inefficiencies within the offshore team and work proactively to address them. Implement corrective actions, enhanced procedures, or training initiatives to bridge delivery gaps, in collaboration with the offshore team. Key Skills and Qualifications: Experience: in a senior delivery role within a UK accounting and finalization. Leadership: Proven track record in leading and developing technical teams and fostering a culture of continuous improvement. Technical Expertise: Strong knowledge of UK accounting standards, payroll legislation, and regulatory compliance requirements. Expert level knowledge of Accounts/Bookkeeping/Payroll is mandatory. Knowledge of different accounting standards like IFRS, UK GAAP and FRS is also given Customer-Focused: Skilled in managing client relationships, handling escalations, and providing professional responses to resolve service issues. Communication Skills: Excellent written and verbal communication skills, with the ability to clearly convey technical information to clients and internal teams. Problem-Solving: Strong analytical skills to identify gaps, propose solutions, and drive process improvements in service delivery. Travel: Willingness to travel as needed for client meetings and team training sessions. Why Join ? This is a pivotal role within a company offering a unique opportunity to shape our service delivery model, improve customer satisfaction, and make a measurable impact on our operational success. You will work closely with the MD and the leadership team, helping to drive growth in the UK market. Show more Show less
India
Not disclosed
On-site
Full Time
Position Summary: We are seeking a highly skilled Finance Planning Analyst to join our finance team. The successful candidate will play a critical role in driving financial performance, supporting commercial teams and providing strategic insights through budgeting, forecasting, financial modeling, and reporting. This role requires a deep understanding of financial principles and excellent analytical skills to help guide business decisions. Key Responsibilities Budgeting & Forecasting: L ead the annual budgeting process and periodic forecasting, ensuring accuracy and alignment with business objectives. Financial Modelling: Develop, maintain, and improve complex financial models to support decision-making, scenario analysis, and strategic planning. Commercial Support: P artner with commercial teams to provide financial insights, performance analysis, and profitability assessments to drive revenue and growth. Reporting: P repare, analyze, and present financial reports, including variance analysis and KPIs, to senior management and stakeholders. Financial Analysis: Perform in-depth financial analysis on business performance, identifying trends, risks, and opportunities to support business objectives. Business Case Development: Support business units in developing financial business cases, including ROI analysis for new initiatives, investments, and projects. Variance Analysis: Monitor and explain financial variances against budgets, forecasts, and prior periods, offering actionable recommendations.Management Reporting: Create monthly, quarterly, and annual reports, providing detailed analysis and insights to senior leadership on financial performance. Process Improvement: Identify opportunities for automation, process improvement, and efficiency gains in financial reporting and forecasting. Cross-functional Collaboration: Work closely with teams across the organization, including Sales, Operations, and Marketing, to align financial planning with business strategies. Ad-hoc Analysis: Provide ad-hoc financial analysis and insights to support strategic initiatives, investment decisions, and board presentations. Requirements Education: Bachelor’s degree in Finance, Accounting, Economics, or a related field; Experience: Minimum 4-5 years of experience in financial planning, analysis, budgeting, and forecasting. Technical Skills: Advanced proficiency in Microsoft Excel and financial modeling techniques. Experience with ERP systems & analytical tools (Power BI) Power BI – Expert-level experience in building dashboards and data models from scratch Analytical Skills: Exceptional analytical and problem-solving skills with the ability to turndata into actionable insights. Communication: Excellent communication and presentation skills, with the ability to explain complex financial concepts to non-finance stakeholders. Attention to Detail: High level of accuracy and attention to detail in financial reporting and analysis. Show more Show less
India
Not disclosed
On-site
Full Time
Position Summary: We are seeking a detail-oriented and analytical Finance and Operations Data Analyst to support data-driven decision-making across finance and operational functions. The ideal candidate will have advanced Excel and Power BI skills and a strong understanding of financial analysis, reporting, and process improvement. You will play a key role in performing financial analysis, preparing dashboard reports, and improving and automating data and reporting processes to enhance efficiency and accuracy. Key Responsibilities: Perform financial analysis , including variance analysis, trend analysis, and cost analysis to support decision-making. Develop, maintain, and enhance interactive dashboards and reports using Power BI and advanced Excel (e.g., pivot tables, Power Query, Power Pivot, macros/VBA). Prepare and deliver management reports and KPI dashboards for finance, operations, and executive teams. Collaborate with finance, operations, and other cross-functional teams to collect, validate, and interpret data. Identify opportunities to improve and automate existing processes and reporting workflows. Assist in budgeting, forecasting, and performance tracking activities. Ensure accuracy and consistency of data across systems and reports. Translate complex data into actionable insights and recommendations for business improvement. Requirements Education: Bachelor’s degree in Finance, Accounting, Economics, or a related field; Experience: Minimum 4-5 years of experience in financial planning, analysis, budgeting, and forecasting. Technical Skills: Bachelor’s degree in Finance, Accounting, Business Analytics, Economics, or a related field. 3+ years of experience in a data analyst or financial analyst role, preferably in a finance or operations environment. Advanced Excel skills including Power Query, Power Pivot, complex formulas, and macros/VBA. Strong Power BI expertise including DAX, data modeling, and dashboard development. Experience performing financial analysis and creating operational reports. Proven ability to improve and automate data collection, transformation, and reporting processes. Familiarity with ERP systems (e.g., SAP, Oracle, NetSuite) and databases (SQL knowledge is a plus). Excellent analytical thinking and attention to detail. Strong communication and collaboration skills. Show more Show less
Gurugram, Haryana, India
Not disclosed
On-site
Full Time
Job Title: Treasury Officer/ Sr. Treasury Analyst Position Summary: Job Summary: The Treasury Officer/ Sr. Treasury Analyst will be responsible for managing Romania’s treasury operations, including cash flow management, cash forecasting, managing banking relationships, and risk management. This position plays a critical role in ensuring the company maintains optimal liquidity, supports business growth, and adheres to financial policies and regulatory requirements. The role requires collaboration with internal teams such as finance, accounting, and operations, and will report directly to the Client team. Key Responsibilities: Cash Flow Management: Oversee cash management operations, including monitoring cash balances and cash forecasts, to ensure sufficient liquidity for operational needs. Management of relationship with stakeholders including Green Group Treasury department. Strategic cash flow planning (including daily cash flow planning) Providing weekly / monthly & annual update to the management of GreenPack and stakeholders. Banking Relationships: Manage relationships with banks and financial institutions, negotiating terms and services for banking products, loans, and other financial services. Forecasting & Reporting: Prepare and analyze cash flow forecasts, ensuring accurate reporting of treasury-related activities to senior management. Compliance: Ensure compliance with regulatory requirements, internal policies, and financial reporting standards. Process Improvement : Continuously improve treasury processes and systems to enhance efficiency, reduce costs, and improve accuracy in cash management. Collaboration: Work closely with the finance team, accountants, and other stakeholders to align treasury activities with overall company objectives and sustainability goals. Qualifications and Experience: Bachelor’s degree in Finance, Accounting, Economics, or a related field; Master’s degree or is a plus. At least 4 years of experience in treasury management, corporate finance, or a related role. Strong understanding of financial markets, banking products, and risk management practices. Experience in cash flow forecasting, liquidity management, and banking relationships. Familiarity with treasury management systems (TMS) and enterprise resource planning (ERP) software. Excellent analytical and problem-solving skills, with attention to detail and accuracy. Strong communication and negotiation skills with the ability to build and maintain relationships with financial institutions and internal teams. Ability to work under pressure and meet deadlines in a fast-paced, dynamic environment. Knowledge of Romanian financial regulations and practices is a plus. Experience in the waste management or environmental sector is advantageous, though not required. What We Offer: Competitive salary and benefits package. Opportunities for professional growth and development. A dynamic, eco-friendly work environment focused on sustainability. The chance to contribute to Romania's leading waste management company's mission to make a positive environmental impact. Show more Show less
Gurugram, Haryana, India
Not disclosed
Remote
Full Time
Job Title: Accounts Payable & Receivable Specialist Location: India (Remote - ideally Gurgaon) Employment Type: Full-Time Department: Finance & Accounting About the Company: Our client is a forward-thinking Romanian company specializing in advanced waste management solutions. With a vision for a circular and sustainable economy, they harness innovative technologies and eco-friendly practices to minimize waste and maximize resource recovery. As a leader in smart environmental solutions, they are committed to operational excellence, environmental responsibility, and an inclusive workplace culture. Position Summary: We are seeking a detail-oriented and reliable Accounts Payable & Receivable Executive to support the company’s finance operations. This role is responsible for managing end-to-end Accounts Payable , Accounts Receivable , and transaction processing activities to ensure accurate and timely financial records. The ideal candidate should have a strong understanding of accounting principles, excellent organizational skills, and hands-on experience with financial systems and tools. Key Responsibilities: Accounts Payable (AP): Process vendor invoices, verify accuracy, and ensure timely payments. Reconcile vendor statements and resolve discrepancies. Maintain accurate records of accounts and payment terms. Assist with month-end closing by preparing AP reports and reconciliations. Accounts Receivable (AR): Generate and issue invoices to customers accurately and on time. Monitor receivables, follow up on outstanding payments, and reduce overdue accounts. Maintain customer account reconciliations and resolve billing queries. Prepare AR aging reports and support credit control activities. Transaction Processing: Record daily financial transactions in the accounting system, ensuring accuracy and timeliness. Handle bank reconciliations, journal entries, and cash flow tracking. Support general ledger postings and assist in audit preparation. Ensure proper documentation for all financial transactions as per internal policies. Compliance & Controls: Ensure compliance with internal accounting policies and external regulatory requirements. Identify and recommend process improvements to enhance efficiency and accuracy. Qualifications & Requirements: Bachelor’s degree in Accounting, Finance, or a related field. 3+ years of experience in Accounts Payable and Accounts Receivable. Good knowledge of transaction processing and financial record-keeping. Familiarity with accounting software (e.g., SAP, Oracle, QuickBooks, or equivalent). Proficiency in Microsoft Excel; Power BI knowledge is a plus. Strong attention to detail, accuracy, and time management. Good communication and problem-solving skills. Fluent in English (written and verbal). What We Offer: A supportive and inclusive work environment. Opportunity to work in a sustainability-driven, innovation-led organization. Competitive salary and benefits. Learning and development opportunities in finance and digital tools. Show more Show less
India
None Not disclosed
On-site
Full Time
Position Summary: We are seeking a detail-oriented and analytical Finance and Operations Data Analyst to support data-driven decision-making across finance and operational functions. The ideal candidate will have advanced Excel and Power BI skills and a strong understanding of financial analysis, reporting, and process improvement. You will play a key role in performing financial analysis, preparing dashboard reports, and improving and automating data and reporting processes to enhance efficiency and accuracy. Key Responsibilities: Perform financial analysis , including variance analysis, trend analysis, and cost analysis to support decision-making. Develop, maintain, and enhance interactive dashboards and reports using Power BI and advanced Excel (e.g., pivot tables, Power Query, Power Pivot, macros/VBA). Prepare and deliver management reports and KPI dashboards for finance, operations, and executive teams. Collaborate with finance, operations, and other cross-functional teams to collect, validate, and interpret data. Identify opportunities to improve and automate existing processes and reporting workflows. Assist in budgeting, forecasting, and performance tracking activities. Ensure accuracy and consistency of data across systems and reports. Translate complex data into actionable insights and recommendations for business improvement. Requirements Education: Bachelor’s degree in Finance, Accounting, Economics, or a related field; Experience: Minimum 4-5 years of experience in financial planning, analysis, budgeting, and forecasting. Technical Skills: Bachelor’s degree in Finance, Accounting, Business Analytics, Economics, or a related field. 3+ years of experience in a data analyst or financial analyst role, preferably in a finance or operations environment. Advanced Excel skills including Power Query, Power Pivot, complex formulas, and macros/VBA. Strong Power BI expertise including DAX, data modeling, and dashboard development. Experience performing financial analysis and creating operational reports. Proven ability to improve and automate data collection, transformation, and reporting processes. Familiarity with ERP systems (e.g., SAP, Oracle, NetSuite) and databases (SQL knowledge is a plus). Excellent analytical thinking and attention to detail. Strong communication and collaboration skills.
haryana
INR Not disclosed
On-site
Full Time
You aim to lead the transformation towards a circular and sustainable society with innovative technologies and a dedicated team, bringing a positive change by protecting the environment and building a green and prosperous future for everyone. The goal is to create a world where no valuable material is wasted, but reintroduced into the economic circuit, thereby stimulating the sustainable development of society. As an equal opportunity employer, we celebrate diversity and are committed to creating an inclusive environment for all employees. We are currently seeking a highly skilled Finance Controller to join our finance team. The successful candidate will play a critical role in driving financial performance, supporting commercial teams, and providing strategic insights through budgeting, forecasting, financial modeling, and reporting. This position requires a deep understanding of financial principles and excellent analytical skills to help guide business decisions effectively. Key Responsibilities: - **Budgeting & Forecasting:** Lead the annual budgeting process and periodic forecasting to ensure accuracy and alignment with business objectives. - **Financial Modelling:** Develop, maintain, and enhance complex financial models to support decision-making, scenario analysis, and strategic planning. - **Commercial Support:** Collaborate with commercial teams to provide financial insights, performance analysis, and profitability assessments to drive revenue and growth. - **Reporting:** Prepare, analyze, and present financial reports, including variance analysis and KPIs, to senior management and stakeholders. - **Financial Analysis:** Conduct in-depth financial analysis on business performance, identifying trends, risks, and opportunities to support business objectives. - **Business Case Development:** Assist business units in creating financial business cases, including ROI analysis for new initiatives, investments, and projects. - **Variance Analysis:** Monitor and explain financial variances against budgets, forecasts, and prior periods, offering actionable recommendations. - **Management Reporting:** Generate monthly, quarterly, and annual reports, providing detailed analysis and insights to senior leadership on financial performance. - **Process Improvement:** Identify opportunities for automation, process enhancement, and efficiency gains in financial reporting and forecasting. - **Cross-functional Collaboration:** Work closely with teams across the organization, including Sales, Operations, and Marketing, to align financial planning with business strategies. - **Ad-hoc Analysis:** Provide ad-hoc financial analysis and insights to support strategic initiatives, investment decisions, and board presentations. Requirements: - **Education:** Bachelor's degree in Finance, Accounting, Economics, or a related field. - **Experience:** Minimum 4-5 years of experience in financial planning, analysis, budgeting, and forecasting. - **Technical Skills:** Advanced proficiency in Microsoft Excel and financial modeling techniques. Experience with ERP systems and analytical tools such as Power BI. - **Analytical Skills:** Exceptional analytical and problem-solving abilities with the capacity to turn data into actionable insights. - **Communication:** Excellent communication and presentation skills, with the ability to explain complex financial concepts to non-finance stakeholders. - **Attention to Detail:** High level of accuracy and attention to detail in financial reporting and analysis. What We Offer: - Competitive salary and benefits package. - Opportunities for career advancement and professional development. - A dynamic, fast-paced working environment. - Exposure to senior leadership and strategic decision-making. - A chance to make a significant impact on the company's financial performance and growth.,
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