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State Finance Head - Maharashtra

FyndBridge Consultants & Advisors · India

FULL TIME

Job Description

Company: A public listed renewable energy firm.

Position: State Financial Controller - Maharashtra

Location: Supa, Ahmednagar

Areas covered: North Maharashtra, South Maharashtra, Central Maharashtra & Ratlam

Department: Finance & Accounts

Reports To: GM - Regional Finance & Accounts and Site Director

Position Type: Full-Time

Qualification : CA / ICWA / MBA – Finance

Key Responsibilities:

1. Financial Reporting & Compliance:

  • Oversee the preparation and review of accurate and timely financial statements (monthly, quarterly, and annual), ensuring compliance with accounting principles.
  • Ensure the organization adheres to financial regulations, tax laws, and industry standards.
  • Manage the annual audit process, liaising with external auditors and ensuring all necessary documentation is prepared.

2. Financial Control & Process Improvement:

  • Design, implement, and maintain effective internal controls to safeguard company assets and ensure financial accuracy.
  • Continuously improve accounting processes, including the automation and streamlining of financial reporting and reconciliation procedures.
  • Ensure timely and accurate financial close and reporting cycles.

3. Budgeting & Financial Planning:

  • Lead the budgeting process, including forecasting and financial analysis.
  • Develop and implement strategic financial plans that align with organizational goals.
  • Monitor and manage the company’s financial performance, identifying and addressing potential issues related to cash flow, revenue, and cost management.

4. Team Leadership & Development:

  • Manage and mentor the finance team, setting clear performance expectations and fostering professional development.
  • Provide leadership in a high-performance culture, ensuring the team’s effectiveness and engagement.
  • Oversee recruitment, training, and retention of finance professionals, ensuring strong bench strength.

5. Cash Flow Management & Treasury:

  • Oversee cash flow management and ensure the business has adequate liquidity to meet operational needs.
  • Monitor working capital, capital expenditures, and financing needs, making recommendations to improve financial health.

6. Financial Analysis & Strategic Support:

  • Provide timely and accurate financial analysis to support decision-making, including variance analysis, profitability analysis, and financial projections.
  • Collaborate with other departments to ensure financial goals align with business objectives.
  • Support senior leadership with insights and advice on financial strategy, growth, and operational improvements.

7. Risk Management:

  • Identify financial risks and develop strategies to mitigate them.
  • Lead efforts in insurance management, compliance risk, and other financial risks.
  • Ensure effective risk assessment and management frameworks are in place to protect the organization’s assets.

8. Stakeholder Communication:

  • Prepare and present financial reports and updates to senior management, the board of directors, and other stakeholders.
  • Communicate financial performance, key metrics, and strategic recommendations to non-financial stakeholders in a clear and actionable way.

Details

CompanyFyndBridge Consultants & Advisors
LocationIndia
TypeFULL TIME
Nichegeneral

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