Responsibilities
• Corporate Finance: Manage and optimize corporate financial strategies, including capital budgeting, financial forecasting, and financial planning.
• Financial Analysis and Modeling: Develop and maintain detailed financial models to support strategic decision-making and performance analysis. Provide insights and recommendations based on financial data.
• Investment Banking: Oversee and manage investment banking activities, including mergers and acquisitions, capital raising, and financial structuring.
• Regulatory and Compliance: Ensure adherence to regulatory requirements and compliance standards related to capital markets. Stay updated on changes in regulations and implement necessary adjustments to company practices.
• Reporting and Oversight: Prepare and present accurate financial reports, statements, and analyses to senior management and stakeholders. Oversee the financial close process and ensure timely and accurate reporting.
• Audit and Risk Management: Coordinate internal and external audits, addressing any issues and implementing corrective actions. Identify and mitigate financial risks to safeguard the company’s assets.
Desired (Behavioral) Traits:
• Should have worked in a high intensity workplace
• Entrepreneurial mindset is a big plus
• Enjoys multi-tasking • Good business and financial acumen
• Devotion to high-quality customer service
• Good interpersonal and communication skills - Written and Verbal
• Problem-solving and conflict resolution capabilities
• Result Oriented
• Adhering to timelines
Education: CA