About Us
Leena AI is an enterprise virtual assistant that empowers employee-facing teams to transform employee experiences. Designed for modern workplaces, Leena AI covers every part of an employee's journey - from the day one enters to the day one leaves - while simultaneously accelerating service delivery across enterprise functions such as HR, IT, and others.
Key Responsibilities
- Financial Planning & Analysis
- Prepare, analyze, and report financial statements, budgets, and forecasts.
- Provide insights on cost management and performance improvements.
- Budgeting & Forecasting
- Manage the annual budgeting process and periodic forecasts.
- Support department heads with budget adherence and performance updates.
- Accounting & Compliance
- Accounting operations and ensure regulatory compliance.
- Coordinate with auditors and manage audit processes.
- Cash Flow Management
- Monitor and forecast cash flow for operational liquidity.
- Support strategic planning with cash flow projections.
- Tax Planning & Compliance
- Ensure timely tax filing and compliance, identifying tax-saving opportunities.
- Risk Management
- Assess financial risks and maintain internal controls.
- Stakeholder Communication
- Report financial performance and insights to senior management and investors.
- Team Leadership
- Led and mentor finance team members, fostering a high-performance culture.
Qualifications And Skills
- Education: CA background required; preference for a tier 1 college.
- Experience: 6+ years in financial management, budgeting, and analysis.
- Technical Skills: Proficiency in accounting software (SAP, Oracle, Tally, Zoho, etc.) and advanced Excel. Familiarity with financial modeling.
- Analytical & Leadership Skills: Strong analytical abilities and experience managing teams.
- Communication: Excellent presentation and interpersonal skills for cross-functional collaboration.
- Detail-oriented: High accuracy in financial data and reporting.
Preferred Attributes
- Ability to align financial planning with long-term business goals and make data-driven strategic recommendations.
- Experience working with global teams, understanding multi-currency financials, and international compliance.
- Familiarity with enterprise resource planning (ERP) tools to streamline financial operations and reporting.
Skills: accounting,compliance,stakeholder communication,team leadership,budgeting,cash flow,financial analysis,tax,financial planning,accounting software,tax planning,risk management,cash flow management,excel,financial modeling,forecasting