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Job Description

Location:- Ahmedabad

Experience:- 8+ Years

Industry:- Business Migration & Global Advisory

Employment Type:- Full-Time

Job Summary:- We are seeking an experienced Finance Manager to oversee financial planning, accounting, taxation, treasury, cash flow, and financial strategy. The role will support business growth, profitability, international operations, and strategic decision-making. The ideal candidate will have strong experience in corporate finance, taxation, fundraising, financial planning, and multi-country financial transactions, with the ability to work closely with senior management.

Key Responsibilities:-

Financial Strategy & Planning:-

• Develop and execute financial strategies aligned with business objectives.

• Lead budgeting, forecasting, financial modelling, and performance analysis.

• Monitor profitability, costs, cash flow, and financial KPIs.

• Provide financial insights to senior management for business decisions.

Treasury & Cash Flow:-

• Manage cash flow, working capital, liquidity, and banking relationships.

• Oversee financing arrangements and ensure effective capital utilization.

Taxation & Compliance:-

• Manage direct and indirect taxation, tax planning, assessments, and statutory compliance.

• Coordinate with auditors, tax consultants, and regulatory authorities.

• Ensure compliance with financial and tax regulations across relevant jurisdictions.

International & Multi-Country Finance:-

• Manage multi-country and cross-border financial transactions.

• Handle foreign currency transactions, international payments, and related reporting.

• Support financial requirements for overseas business operations and expansion.

Fundraising & Investment:-

• Support and lead fundraising activities, financial projections, investor presentations, and financial due diligence.

• Evaluate investment, partnership, and financing opportunities.

• Manage relationships with investors, lenders, banks, and financial institutions.

Reporting & Team Leadership:-

• Oversee financial statements, management reports, and financial dashboards.

• Establish strong internal controls and financial governance.

• Lead and develop finance, accounts, taxation, and compliance teams.

Requirements:-

• Bachelor's degree in Finance, Accounting, Commerce, Economics, or related field.

• CA, CPA, CMA, or MBA (Finance) preferred.

• 8+ years of experience in finance and accounting, including senior-level responsibilities.

• Strong experience in financial planning, budgeting, forecasting, taxation, treasury, and cash flow management.

• Hands-on experience in fundraising and financial modelling.

• Experience handling multi-country/cross-border transactions and international financial operations.

• Strong knowledge of statutory compliance, financial reporting, and taxation.

• Excellent analytical, leadership, negotiation, and decision-making skills.

Preferred Skills:-

• Corporate Finance & Financial Strategy

• Budgeting & Forecasting

• Taxation & Tax Planning

• Multi-Country & Cross-Border Transactions

• Treasury & Cash Flow Management

• Fundraising & Investor Relations

• Financial Modelling

• Financial Reporting & Compliance

• Cost Optimization & Profitability Management

• International Business & Expansion

More Info

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