About CapitaLand Investment India:
CapitaLand Investment India is a part of the CapitaLand Investment Group; a leading global real asset manager headquartered in Singapore. In India, the company focuses on business parks, logistics, data centers, and industrial assets, with a strong presence across key cities such as Bangalore, Chennai, Hyderabad, Pune, Mumbai, and Gurgaon.
With a diversified portfolio of premium office spaces and integrated developments, CapitaLand India is committed to sustainable growth, high-quality asset management, and delivering long-term value to its stakeholders. The company is also a pioneer in listed real estate investment trusts (REITs) in India through CapitaLand India Trust (CLINT), which owns and manages a portfolio of high-quality income-producing assets.
Driven by innovation, governance, and sustainability, CapitaLand India continues to be a key player in shaping India's commercial real estate landscape.
Job Title: Manager - Business Finance
Department: Finance
Job Location: Hyderabad, Telangana
Responsibilities:
- Partner with Business to provide financial information and analysis to achieve business strategies
- Monitor and report on key macroeconomic trends for business/investment strategies
- stablish, measure, monitor, and analyze Key Performance Indicators (KPIs) that are relevant for decision support
- Prepare and review project cashflow models for proposed investments
- Prepare annual financial forecast/budget and monthly rolling forecast
- Collaborate with various teams for variance analysis
- Financial Reporting (Rev/Cost Provisions, Monthly Financials review)
- Collaborate with various operational teams to review revenue, OPEX
- Take part in procurement process by reviewing vendor financial due diligence
- Perform customer due diligence and facilitate subsequent onboarding
- Prepare CAM budget and coordinate CAM certification for tenants
- Prepare redevelopment budget and perform ongoing cost tracking & analysis
- Monitor cash flows and recommend funding options & coordinate with owner & banks for fundings
- Monitor funding covenants & ensure continuous compliance
- Prepare and submit management reports on timely basis
- Support in finalization of monthly, quarterly and yearly books of accounts
- Assist with any other special focus studies or ad hoc tasks assigned
Pre-requisites:
- 3-7 years of working experience in corporate finance, business finance
- CA/CFA/MBA Finance with relevant experience.
- Strong analytical skills, numerical competence, and financial analysis experience
- Independently minded who can work well with internal and external stakeholders
- Excellent communication and presentation skills
- Ability to work under pressure and adhere to tight deadlines.
- Reasonable knowledge of IGAAP, Ind AS and IFRS
- Skilled in MS Office, in particular MS Excel Analytical skills.
Preferred:
- Real estate credit evaluation, real estate research or property valuation
- Understanding of Value-at-Risk Models, Capital Assets Pricing Model
- Experience in project cashflow modelling for proposed investments
- Familiarity with investment and acquisition process
- Able to work independently