Key Responsibilities
Financial Strategy & Leadership
Develop and execute the company's financial strategy aligned with business objectives
Drive long-term financial planning, budgeting, forecasting, and profitability management
Provide strategic recommendations to the CEO and Board on financial performance and ...
growth opportunities
Support expansion, M&A opportunities, IPO readiness, and strategic investments
Financial Planning & Analysis (FP&A)Lead annual budgeting and monthly forecasting processes
Monitor business KPIs, cash flows, margins, and unit economics
Drive MIS reporting with actionable insights for leadership
Analyze business performance by profit center/location/category
Accounting & Financial Control
Ensure accurate and timely closure of books of accounts
Oversee financial reporting, audits, taxation, and statutory compliance
Strengthen internal controls, SOPs, and governance frameworks
Ensure compliance with all regulatory requirements and accounting standards
Treasury & Cash Flow Management
Manage working capital, cash flow optimization, and banking relationships
Lead treasury operations including debt management and fund utilization
Ensure efficient capital allocation and financial discipline
Fundraising & Investor Relations
Lead debt/equity fundraising initiatives
Manage relationships with banks, investors, auditors, and financial institutions
Prepare investor presentations, board reports, and financial models
Support due diligence and transaction processes
Business PartneringCollaborate with Operations, HR, Marketing, and Business Heads for commercial decision-
makingEvaluate new business opportunities, capex investments, and ROI analysis
Drive cost optimization and operational efficiencies
Team Leadership
Build and mentor a high-performing finance and accounts team
Establish performance-driven culture and accountability within finance function
experience
15show more Key Responsibilities
Financial Strategy & Leadership
Develop and execute the company's financial strategy aligned with business objectives
Drive long-term financial planning, budgeting, forecasting, and profitability management
Provide strategic recommendations to the CEO and Board on financial performance and
growth opportunities
Support expansion, M&A opportunities, IPO readiness, and strategic investments
Financial Planning & Analysis (FP&A)Lead annual budgeting and monthly forecasting processes
Monitor business KPIs, cash flows, margins, and unit economics
Drive MIS reporting with actionable insights for leadership
Analyze business performance by profit center/location/category
Accounting & Financial Control
Ensure accurate and timely closure of books of accounts
Oversee financial reporting, audits, taxation, and statutory compliance
Strengthen internal controls, SOPs, and governance frameworks
Ensure compliance with all regulatory requirements and accounting standards
Treasury & Cash Flow Management
Manage working capital, cash flow optimization, and banking relationships ...
Lead treasury operations including debt management and fund utilization
Ensure efficient capital allocation and financial discipline
Fundraising & Investor Relations
Lead debt/equity fundraising initiatives
Manage relationships with banks, investors, auditors, and financial institutions
Prepare investor presentations, board reports, and financial models
Support due diligence and transaction processes
Business PartneringCollaborate with Operations, HR, Marketing, and Business Heads for commercial decision-
makingEvaluate new business opportunities, capex investments, and ROI analysis
Drive cost optimization and operational efficiencies
Team Leadership
Build and mentor a high-performing finance and accounts team
Establish performance-driven culture and accountability within finance function
experience
15show more