- Financial Reporting & Controllership: Lead monthly/quarterly closing, consolidation and management reporting; ensure high-quality financial statements and adherence to Ind AS/statutory compliance; drive audit readiness and closure of observations.
- Governance & Internal Controls: Strengthen financial governance, SOPs, internal controls and compliance framework; partner with audit teams for smooth audits and continuous improvements.
- FP&A and Business Partnering: Lead budgeting, forecasting, variance analysis and business performance reviews; support leadership with insights on margins, cost optimization and profitability.
- Working Capital & Cashflow: Own cashflow forecasting and working capital efficiency (inventory, receivables, payables); drive discipline around cash conversion and liquidity planning.
- Treasury, Taxation & Compliance: Manage banking relationships, treasury operations and financial risk controls; oversee direct/indirect taxation compliance and advisory support.
- Strategic Finance & Transformation: Support CFO on strategic finance initiatives including stakeholder management and governance enhancement; drive process improvements, ERP/reporting automation and scalable finance operations.