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Job Description



Location- Chennai (On-site role) Qualification- Chartered Accountant Experience- 20-30 years of post qualification relevent experience Industry preferred- Indian Listed Manufacturing Companies
Roles & Responsibilities:
Strategic Leadership:

Develop and implement financial strategies to drive sustainable growth.
Partner with the Board and executive leadership on strategic initiatives and long-term planning.

Financial Management:

Oversee budgeting, forecasting, and financial analysis to ensure optimal allocation of resources.
Manage the preparation and presentation of financial reports in compliance with statutory regulations and corporate governance norms.

Treasury Operations:

Lead and optimize Indian treasury operations, including cash flow management, fund raising, and liquidity planning.
Maintain strong relationships with banks, financial institutions, and investors to secure cost-effective funding.

Regulatory Compliance:

Ensure compliance with SEBI, company law, and other statutory requirements applicable to listed entities.
Lead internal and external audits while maintaining impeccable financial controls.

Team Management:

Build, mentor, and lead a high-performing finance team.
Foster a collaborative and results-driven work culture across departments.

Stakeholder Engagement:

Act as a key spokesperson for financial matters with investors, analysts, and regulatory authorities.
Provide financial insights and recommendations to enable informed decision-making by stakeholders.


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