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VirtuHR India

Chartered Accountant - Asst. Mngr / Manager

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  • Posted 19 days ago
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Job Description

Job Title: Chartered Accountant - Asst. Mngr / Manager

Location: Chhatrapati Sambhaji Nagar/ Aurangabad

Experience: 3-5 years

Qualifications: CA/MBA (Finance) Mandatory

Reporting to: Directors/CFO

Role

The Chartered Accountant Assistant Manager / Manager will play a strategic finance leadership role, reporting directly to the Directors/CFO. The role is responsible for strengthening financial governance, driving IPO readiness, and supporting business growth through robust financial planning, compliance, and stakeholder management.

The incumbent will act as a key partner to senior leadership, owning financial reporting, treasury, tax, audit, and systems while coordinating closely with investors, bankers, auditors, legal advisors, and regulators. The role requires a balance of hands-on execution and strategic insight, with significant exposure to Board-level interactions and capital market processes.

Job Responsibilities

Strategic Financial Leadership

  • Lead the finance function, including budgeting, forecasting, financial analysis, and long-term financial planning aligned with company growth strategies.
  • Provide strategic financial insights to the Board and executive leadership team to support decision-making.

IPO Readiness & Execution

  • Own and drive all aspects of IPO preparation and execution in coordination with legal, tax, audit, regulatory advisors, and merchant bankers.
  • Manage the preparation and review of IPO-related documentation, disclosures, financial models, and investor presentation materials.
  • Ensure accurate reporting and timely completion of all IPO milestones.

Financial Reporting & Compliance

  • Ensure timely and compliant preparation of financial statements in accordance with SEBI regulations and statutory requirements.
  • Oversee internal and external audit processes; implement audit recommendations.
  • Strengthen systems and controls to ensure accuracy, transparency, and compliance with regulatory standards.

Treasury, Cash Flow & Risk Management

  • Manage treasury functions including cash flow forecasting, working capital optimization, banking relationships, credit facilities, and fund flows.
  • Identify and proactively mitigate financial risks, including currency, interest rate, credit and operational risks.

Tax, Legal & Regulatory Compliance

  • Oversee corporate tax planning and compliance including direct & indirect tax matters.
  • Liaise with legal counsel and regulatory authorities to ensure full compliance across financial and statutory domains.

Team Leadership & Development

  • Lead, mentor and develop the finance and accounts team.
  • Build a high-performance culture focused on strong controls, accuracy, collaboration and continuous improvement.

ERP & Systems Integration

  • Implement or optimize ERP/financial systems to enhance reporting accuracy, operational efficiency and internal controls.

Stakeholder Management

  • Act as a key finance spokesperson for investors, bank lenders, auditors, tax authorities, and regulatory bodies.
  • Present financial results and strategy to the Board, audit committees and external stakeholders.

Skills: ipo,sebi regulations,qualified chartered accountant,ipo readiness,treasury management,financial planning,financial management,stakeholder management,financial leadership,board reporting,strategic finance,budgeting & forecasting

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About Company

Job ID: 142259079