Company Profile:
Jaipur Rugs is a globally renowned, export-driven organization specializing in hand-knotted rugs. The company connects rural artisans with global markets and operates in over 40 countries, combining traditional craftsmanship with modern business practices. With a strong focus on social impact and sustainability, Jaipur Rugs is recognized for its unique business model and global presence.
Job Summary:
We are looking for an experienced and dynamic Finance Manager to lead financial operations, drive strategic planning, and ensure regulatory compliance. The role requires strong exposure to export-oriented manufacturing, team leadership, and investor engagement.
Key Responsibilities:
Financial Management & Strategy
- Oversee end-to-end finance and accounting operations
- Lead financial planning, budgeting, and cost optimization initiatives
- Prepare and analyze financial statements, MIS reports, and forecasts
- Support strategic decision-making through data-driven insights
Compliance & Controls
- Ensure compliance with statutory regulations (Income Tax, GST, etc.)
- Lead internal audit systems and strengthen internal controls
- Liaise with regulatory authorities and handle financial scrutiny
Treasury & Banking
- Manage banking relationships, working capital, and cash flow
- Handle treasury operations and fund management
Export & Forex Management
- Manage export-import (EXIM) financial processes
- Oversee forex transactions, risk management, and compliance
Leadership & Stakeholder Management
- Lead and manage a team of 25–30 members
- Collaborate with senior leadership for business strategy
- Handle investor relations and participate in investor meetings
- Travel as required for business and investor coordination
Eligibility Criteria:
- Qualification: Chartered Accountant (CA)
- Experience: Minimum 10 years
- Industry: Export-oriented / manufacturing company
- Preferred: Experience in a listed company
- Company Size Exposure: ₹300–500 crore turnover
Key Skills & Competencies:
- Strong financial planning & analysis (FP&A)
- Expertise in accounting, taxation, and compliance
- MIS reporting and financial modeling proficiency
- Knowledge of ERP systems (SAP, Oracle, NAV, etc.)
- Banking, treasury, and cash flow management
- Leadership and team management skills
- Strong analytical and problem-solving ability
- Effective communication and stakeholder management
Additional Requirements:
- Proactive mindset with strong business understanding
- Ability to perform root cause analysis and implement solutions
- Willingness to travel (including with investors)
- Alignment with organizational values and culture
we recommend those who have an previous IPO experience