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Financial Analysis & Business Intelligence
• Build and maintain financial models for revenue forecasting, project P&L, and scenario analysis
• Prepare monthly MIS reports with variance analysis and actionable commentary for management
• Analyse cost structures, margin trends, and operational performance across projects and business units
• Support pricing decisions, bid evaluations, and contract financial reviews
2. Cash Flow Management & Treasury
• Prepare and maintain rolling 13-week cash flow forecasts; flag liquidity risks proactively
• Monitor accounts receivable, collections, and payment cycles to optimise working capital
• Track banking facilities, FOREX exposures, and inter-company settlements
• Coordinate with banks and ensure banking operations run smoothly
3. Budgeting & Forecasting
• Support the annual budgeting cycle — prepare templates, gather inputs, consolidate, and challenge assumptions
• Maintain rolling forecasts; update models as business conditions evolve
• Present budget-vs-actual analysis to leadership with clear narrative
4. Financial Reporting & Compliance Support
• Ensure accurate books under Indian GAAP; support alignment with group IFRS reporting requirements
• Assist with GST filings, TDS compliance, income tax workings, and statutory audit coordination
• Maintain proper documentation for all financial transactions and regulatory submissions
• Liaise with external auditors, tax consultants, and corporate secretarial advisors
5. Project Finance & Contract Monitoring
• Track project-wise revenue recognition, costs, and margins in line with Ind AS 115 / contract terms
• Monitor milestone billing, advance adjustments, and retention schedules
• Prepare financial summaries for project reviews and management reporting
6. Group Reporting & HQ Coordination
• Submit monthly financial packages to the regional controller and Lamor HQ in required formats
• Manage intercompany transactions, recharges, and transfer pricing documentation
• Support consolidation inputs and group audit queries
Qualifications
• CFA (Chartered Financial Analyst) designation — mandatory
• CA / MBA Finance — preferred but not required if CFA credentials are strong
• 2–3 years of post-qualification experience in finance, analysis, or FP&A
• Strong proficiency in Excel (financial modelling, pivot tables, dynamic dashboards); experience with
Tally / SAP / Oracle is a plus
Job ID: 149185609
Skills:
Audit Compliance, Asset Performance Optimization, Cash Flow Management, Budgeting, Financial Reporting Analysis, Documentation Stakeholder Coordination, Financial Planning
Skills:
MS Excel (Advanced), ERP Systems (SAP/Oracle preferred), Power BI (preferred), Financial Modeling Tools
Skills:
Advanced Excel, Power Bi, Budgeting, Revenue Forecasting, Financial Modelling
Skills:
cash flow reporting , Power Bi, Microsoft Excel, Forecasting, Profitability Analysis, Financial Reporting Tools, Financial Analysis, Accounts Receivable, Variance Analysis, Financial Reporting, Reconciliations, Payroll and Billing Systems, Cost Control, Budgeting
Skills:
Management Accounting, Financial Accounting, Reporting processes
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