Senior Finance Manager
Actively Reviewing the ApplicationsArth
Job Description
We are looking for a highly driven and analytical Senior Finance Manager to support the organization’s financial growth and stability. The role will focus on financial planning, business partnering, financial controls, compliance, and performance analysis to enable informed strategic decision-making.
You will work closely with business leadership to ensure strong financial governance, disciplined processes, and data-driven insights that support sustainable growth across geographies.
Key Responsibilities:
Financial Planning, Budgeting & Performance Management
- Lead and support the annual budgeting, quarterly forecasting, and long-term financial planning processes across business functions.
- Prepare financial models, forecasts, and variance analyses to track organizational performance and highlight risks and opportunities.
- Monitor budget utilization and recommend corrective actions to ensure financial discipline and efficient capital allocation.
- Provide leadership with performance insights and financial dashboards to support strategic decision-making.
Business Partnering & Strategic Support
- Partner with business leaders to provide financial insights and evaluate strategic initiatives, investments, and expansion opportunities.
- Assess financial viability of new ventures, business lines, and growth initiatives.
- Identify opportunities for revenue growth, cost optimization, and operational efficiency improvements.
- Present financial analysis and recommendations to leadership and cross-functional stakeholders.
- Support leadership in financial strategy, capital planning, and long-term business growth initiatives.
Financial Reporting & Analysis
- Prepare monthly and quarterly financial reports for leadership review.
- Analyze financial performance and highlight key trends, business risks, and improvement opportunities.
- Develop reporting frameworks and dashboards to enhance financial transparency and visibility.
Financial Controls, Compliance & Governance
- Strengthen and monitor internal financial controls and governance frameworks.
- Ensure compliance with financial regulations, tax laws, and statutory requirements across India, Singapore, and the USA.
- Coordinate with external auditors, tax advisors, and regulatory authorities for statutory audits, filings, and financial reviews.
- Maintain adherence to internal financial policies, controls, and risk management frameworks.
Cash Flow & Working Capital Management
- Monitor and manage cash flow, liquidity, and working capital planning.
- Track receivables, payables, and operational cash cycles to ensure healthy working capital management.
- Provide leadership with cash flow forecasts and funding requirement insights.
Finance Systems & Process Improvement
- Identify opportunities to automate finance processes and improve reporting efficiency.
- Implement best practices to strengthen financial reporting, data management, and operational efficiency.
Team Collaboration & Leadership
- Collaborate with cross-functional teams including operations, HR, and leadership to support financial decision-making.
- Guide and mentor junior finance team members, fostering a culture of accountability and continuous learning.
- Contribute to building scalable finance processes that support organizational growth.
Investor & Banking Relationship Management
- Develop and maintain strong relationships with investors and banking partners.
- Provide regular financial updates and insights on business performance.
- Coordinate on funding requirements, financial reporting, and compliance matters.
- Support leadership in investor and banker discussions, negotiations, and stakeholder engagement.
Requirements
- Bachelor’s or Master’s degree in Finance, Accounting, or related field; CA preferred.
- 10–12 years of experience in financial analysis, corporate finance, or financial management.
- Strong experience in budgeting, financial planning, reporting, compliance, and financial controls.
- Good understanding of Indian financial regulations, taxation frameworks, and statutory compliance.
- Experience managing cash flow, working capital, and financial performance reporting.
- Advanced proficiency in Excel, financial modeling, and financial analysis.
- Experience with ERP systems such as Tally or other financial management platforms.
- Exposure to multi-entity or international financial operations will be an added advantage.
- Experience with BI tools such as Power BI, Tableau, or financial analytics platforms is a plus.
- Strong analytical, communication, and stakeholder management skills.
- Ability to present financial insights and influence strategic decisions across leadership teams.
- High adaptability and willingness to learn global financial processes as the organization expands internationally.
- Experience interacting with investors, banking partners, and external financial stakeholders is preferred.
Required Skills
Quick Tip
Customize your resume and cover letter to highlight relevant skills for this position to increase your chances of getting hired.
Related Similar Jobs
View All
Quality Engineer (Aviation/Manufacturing)
Genpact
Recruitment Specialist
Sattva Human
Operations & AI Automation Manager
Growth Grid Global
Backend Engineer
AJ Bell
Head Collections
airtel
Share
Quick Apply
Upload your resume to apply for this position