Assistant Finance Manager - Group Finance
Job Description
The ideal candidate should possess strong analytical skills, execution capabilities, and experience in group-level finance operations.\n\nKey Responsibilities\nFinancial Management & Reporting\nAccounting and finance functions for multiple group entities.\nEnsure timely preparation of monthly, quarterly, and annual financial statements.\nConsolidate financial reports across group companies.\nMonitor financial performance and provide management with financial analysis and MIS reports.\nEnsure compliance with applicable accounting standards and regulatory requirements.\nBudgeting & Forecasting\nSupport management in strategic financial planning and decision-making.\nTaxation & Compliance\nEnsure timely filing of GST, TDS, income tax, and other statutory compliances.\nCoordinate with accounts team, consultants relating to assessments and appeals, auditors.\nMonitor compliance with Companies Act, FEMA, RBI, and other applicable regulations.\nTreasury & Cash Flow Management\nManage cash flow, banking operations, and working capital requirements.\nMonitor fund utilization and optimize liquidity across entities.\nHandle banking relationships, loan documentation, and financial negotiations.\nAudit & Internal Controls\nCoordinate statutory and tax audits.\nImplement and strengthen internal financial controls and SOPs.\nEnsure proper documentation and compliance across all entities.\nTeam Management\nLead and mentor finance and accounting team members.\nAllocate responsibilities and monitor team performance.\nCoordinate with cross-functional departments and external stakeholders.\nProcess Improvement\nIdentify opportunities for automation and process enhancement.\n\nQualifications & Experience\nInter CA/ BCom\n7-9 years of relevant experience in finance and accounting.\nExperience handling finance for multiple entities or group companies preferred.\nStrong knowledge of accounting standards, taxation, and corporate compliance.\nProficiency in Tally, Quick Books accounting software and MS Excel.\n\nKey Skills\nFinancial Reporting & Consolidation\nBudgeting & Forecasting\nTaxation & Regulatory Compliance\nCash Flow & Treasury Management\nAudit Coordination\nAnalytical & Problem-Solving Skills\nERP & Advanced Excel Knowledge\n\nCompensation\nCompetitive salary and benefits package based on experience and qualifications.\n\nPreferred Industry Experience\nStartups / Healthcare/ Group Companies / Manufacturing