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Welspun One

Finance Manager

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  • Posted 7 months ago

Job Description

The Senior Manager Finance & Accounts is responsible for overseeing financial planning and analysis, treasury management, financial reporting, and compliance. This role ensures the effectiveness of internal controls, coordinates with shared services and financial consultants, and drives SAP Change management within the defined timeline. The incumbent will also support the CFO in key strategic priorities across FP&A, treasury, and overall financial management for SPVs and WOLP, while ensuring budgetary management and control, also driving profitability by taking ownership of P&L management.

Key responsibilities:

Financial Planning & Analysis (FP&A)

Perform robust financial planning, budgeting, and analysis to support business decisions.

Treasury & Cash Flow Management

Ensure efficient treasury management and maintain adequate cash flow for all SPVs and WOLP.

Financial Reporting & Compliance

Ensure timely and accurate financial reporting in compliance with applicable regulations and standards.

Internal Controls & Risk Management

Strengthen internal controls to mitigate financial and operational risks. ERP Implementation Drive the implementation of ERP systems by the end of the financial year to enhance financial operations.

Stakeholder Coordination

Collaborate with shared services, financial consultants, investment committees, and asset management teams to ensure smooth financial operations.

KPI (Indicative):

Financial Planning & Budgeting Accuracy

% Variance between actual vs. budgeted financials.

Treasury & Liquidity Management

% Adherence to cash flow forecasts for SPVs and WOLP.

Compliance & Financial Reporting

% Compliance with statutory and internal financial reporting timelines.

Internal Controls & Risk Management

% Adherence to internal control processes with zero major audit observations.

ERP Implementation & System Efficiency

% Completion of ERP implementation within the defined timeline.

Stakeholder & CFO Support

% Timely and accurate financial insights provided for strategic decision-making

Education Requirements: Chartered Accountant (CA) / MBA (Finance) Mandatory

Knowledge in ERP systems: Hands on experience in SAP is mandatory, whereas knowledge of other systems like Oracle, or equivalent is advantageous.

Experience in Excel Modelling advantageous.

Years of experience: 6-8 years in finance, accounting, treasury, and FP&A roles with experience in real estate sector.

Work Experience Requirements:

Treasury & Cash Flow Management: Experience in fund management, liquidity planning, and cash flow forecasting.

Financial Reporting & Compliance: Strong knowledge of IFRS, Ind AS, taxation, and regulatory frameworks.

Internal Controls & Risk Management: Experience in strengthening internal control systems and risk assessment.

ERP & Financial System Implementation: Hands-on experience in ERP implementation and financial process automation.

Stakeholder Support: Proven ability to collaborate with senior leadership, shared services, and external consultants.

Key Behavioral & Technical Capabilities:

Financial Acumen: Strong expertise in financial planning, reporting, and compliance.

Analytical & Strategic Thinking: Ability to interpret financial data and provide actionable insights.

Treasury & Cash Flow Management: Ensuring adequate liquidity across all entities. ERP & Process Optimization: Driving technology adoption for efficient financial operations. Stakeholder Collaboration: Coordinating with internal teams, shared services, and financial consultants

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About Company

Job ID: 110184229

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