Role Overview
We are looking for versatile finance professionals to join various verticals—including Business Finance, Taxation, Treasury and Plant Finance
Experience required : 1- 4 Years
Key Responsibilities
- Support budgeting, forecasting, and monthly financial performance analysis.
- Conduct variance analysis and assist in preparing management reporting decks.
- Perform accounting activities including reconciliations, journal entries, and month-end close tasks.
- Assist in audit preparation, documentation, and compliance activities. Partner with business teams to analyze costs, revenue, profitability, and operational efficiencies.
- Support financial modelling, scenario planning, and KPI tracking.
- Assist in treasury operations such as cash flow management, banking coordination, and investment documentation.
- Conduct process reviews, identify gaps, and support internal audit activities.
- Prepare data packs, dashboards, and analysis for leadership decision-making.
- Work with cross-functional teams to support strategic and operational finance initiatives.
Key Requirements
- Chartered Accountant (CA)
- Strong understanding of financial statements, accounting concepts, and Ind-AS.
- Proficiency in MIS reporting, Excel (advanced functions), and large dataset analysis.
- Working knowledge of ERP systems and finance tools preferred.
- Good communication and stakeholder management skills.
- High attention to detail with strong problem-solving ability.
- Ability to adapt to a fast-paced environment and take ownership of tasks.