Conduct financial analysis on the company s operations, providing insights on profitability, liquidity, solvency, and capital structure.
Support the preparation of budgets and forecasts, providing financial modeling for various business scenarios.
Prepare detailed financial reports, presentations, and analysis for senior management and stakeholders.
Assist in capital structuring decisions, including debt and equity financing.
Support fundraising activities by preparing financial projections and working on due diligence materials for investors and lenders.
Evaluate potential financing sources and recommend optimal capital-raising strategies.
Conduct investment analysis, business valuation, and feasibility studies for new ventures, M&A activities, and expansions.
Perform discounted cash flow (DCF), comparative company analysis, and other valuation methodologies for potential acquisitions and investments.
Provide transactional support for mergers, acquisitions, and other corporate finance activities, including due diligence, financial modeling, and deal structuring.
Assist in coordinating with external advisors such as legal, audit, and banking teams during transactions.
Monitor and manage cash flow to ensure that the organization has sufficient liquidity for operations and growth plans.
Analyze working capital requirements and optimize cash flow management processes.
Identify, assess, and manage financial risks related to interest rates, currency fluctuations, and credit risk.
Work on strategies to hedge financial risks through instruments such as derivatives, if applicable.
Ensure compliance with financial regulations, corporate governance standards, and statutory reporting requirements.
Assist in preparing statutory financial statements in accordance with applicable accounting standards and regulations.
Collaborate with various departments such as accounting, legal, tax, and treasury to ensure aligned financial operations.
Provide insights and recommendations to senior leadership on financial strategies, opportunities, and risks.
Requirements:
Education:
Must have completed CA Articleship/ Inter .
A Bachelor s degree in Finance, Accounting, or Commerce is preferred.
Experience:
2-4 years of experience in corporate finance, financial planning & analysis (FP&A), or a similar role.
Experience working with financial modeling, forecasting, and business valuations.
Technical Skills:
Strong understanding of financial statements, ratios, and key performance indicators (KPIs).
Proficiency in MS Excel for financial modeling and analysis.
Experience with financial software like Tally and Zoho Books is an advantage