Job Preference:
· Job Types:
Full-time, In-Office (Ahmedabad - Gujarat). 5 days working.
Time: 1:00pm to 10:00pm in Winter. 12:00pm to 9:00pm in summer. (UK 8am to 5pm)
Qualification:
Any GraduateJob Description:
· Prepare and review consolidated financial
statements for the group, ensuring compliance with accounting standards and reporting deadlines.
· Lead the budgeting process across all
subsidiaries, setting financial
targets and monitoring
performance against budget on monthly, quarterly and yearly basis.
· Conduct in-depth financial analysis to identify trends,
opportunities, and risks, providing actionable insights to senior management.
· Monitor key performance indicators (KPIs) across the
group, identifying areas for improvement and driving performance optimization.
· Collaborate with business leaders to develop
and execute strategic
financial plans aligned with overall business objectives.
· Ensure robust internal controls are in place
across the group to mitigate
financial risk and maintain
compliance.
· Prepare comprehensive management reports for senior management,
including detailed analysis of financial performance, variance analysis, and
key metrics.
· Oversee tax planning and compliance activities across the
group, ensuring accurate tax
filings.
· Manage and develop a team of finance
professionals across different subsidiaries, providing guidance and support.
· Take full ownership of treasury management and banking operations, optimizing
cash flow and financial risk management strategies across the group.
· Oversee the preparation and submission of VAT returns, while
managing head office
payroll to ensure compliance with regulatory obligations and operational
efficiency.
· Leverage Power BI and other analytical tools to enhance
financial reporting capabilities, providing actionable insights and support to
international subsidiaries within the group.
Skills:
· Expertise in generally accepted accounting
principles (GAAP)
and international financial reporting standards (IFRS).
· Proficiency in financial software (i.e xero, QuickBooks..etc),
and advanced Excel skills.
· Ability to analyses large datasets, interpret
financial information, and draw meaningful conclusions.
· Excellent
written and verbal English communication
skills to effectively present complex financial information to senior
management.
· Proven ability to lead and motivate a team of
finance professionals.
· Understanding of business operations and the
ability to align financial strategies with overall business goals.
· Ability to work in a fast-paced environment
and manage multiple priorities.
Ø Relevant Experience:
· Significant experience in a senior finance
role within a multi-company organization.
· Proven track record of managing complex
financial reporting and analysis processes.
· Experience in budgeting, forecasting, due
diligence and financial planning.