corporate-finance-jobs-in-kamarhati

3,098 Corporate Finance Jobs in Kamarhati

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posted 3 weeks ago
experience15 to >25 Yrs
Salary46 - 70 LPA
location
Oman
skills
  • accounting
  • management
  • budgeting
  • audit
  • treasury
  • finance
  • taxation
  • corporate finance
  • chartered
  • manager
  • divisional
  • accountant
  • financial
Job Description
Job Title: Corporate Finance Manager / Divisional Manager Finance Location: Oman Job Description: Responsible for managing financial accounting, taxation, audit, credit control, and treasury functions to ensure proper controls, policy adherence, and timely reporting. This senior role involves strategic financial management, planning, analysis, and decision-making support across diversified business verticals, including retail, infrastructure, shipping, and logistics. The position requires expertise in P&L management, budgeting, variance analysis, and treasury operations while leading a large finance team. Qualifications & Experience: Chartered Accountant (CA), CS, CMA, or MBA in Finance Minimum 15- 20 years of experience in large, professionally managed or diversified organizations Strong leadership, analytical, and communication skills
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posted 3 weeks ago

AM Corporate Finance

Synergy Plus Business Consulting Group Hiring For For a leading Manufacturing Company
Synergy Plus Business Consulting Group Hiring For For a leading Manufacturing Company
experience2 to 5 Yrs
Salary8 - 14 LPA
location
Bangalore
skills
  • debt management
  • compliance management
  • corporate finance
  • cash flow management
  • financial analysis
  • due diligence
  • treasury management
  • financial projections
Job Description
Roles and Responsibilities:   Conduct detailed financial analysis and due diligence for debt financing and treasury activities. Prepare and review Cma data, financial projections, and cash flow models for submission to banks and financial institutions. Coordinate and respond to lender queries, ensuring timely and accurate information sharing. Assist in the negotiation, documentation, and closure of debt facilities. Ensure adherence to debt covenants, compliance requirements, and reporting timelines. Support in managing relationships with banks, rating agencies, and other financial stakeholders. Provide analytical insights to support strategic financing decisions. Assist in monitoring and optimizing working capital, fund utilization, and cost of borrowing. Required Expertise and Skills: CA with 2.4 years of experience in Treasury, Debt Management, or Corporate Finance. Strong analytical and financial modelling skills. Experience in Cma preparation, due diligence, and financial projections. Good understanding of banking processes, debt instruments, and compliance requirements. Excellent communication and stakeholder management abilities. Highly detail-oriented with the ability to manage multiple priorities.  Interested one pls share your resume on recruiter4.spbcgroup@gmail.com
posted 3 weeks ago

Senior Manager Banking / Treasury / Corporate Finance

LyfLeap Talent Solutions Private Ltd
experience7 to 12 Yrs
location
Maharashtra
skills
  • Fund Raising
  • Financial Modelling
  • Project Finance
  • Banking Relationships
  • Credit Rating
  • Compliance
  • Cash Management
  • Liquidity Management
  • MS Excel
  • MS Word
  • MS PowerPoint
  • Loan Documentation
Job Description
As a Banking / Treasury / Corporate Finance professional, your role will involve fund raising for various project SPVs and InvIT through bank loans, NCDs, and other financing options. You will be responsible for preparing information memorandums and term sheets for loan availing, conducting financial modeling, and ensuring knowledge of key aspects of loan documentation and project finance. Your key responsibilities will include: - Coordinating with banks to manage loans and maintain strong banking relationships - Liaising with banks and engaging with rating agencies for credit rating of loans - Collaborating with internal teams to provide necessary information to lenders - Ensuring regular compliance with loan requirements - Engaging with financial, technical, and legal consultants - Maintaining Management Information System (MIS) related to loans and covenants - Overseeing cash and liquidity management processes Qualifications required for this role include: - Educational Background: CA/MBA (Finance) - Work Experience: 7 to 12 years - Knowledge/Skills: Understanding of the banking industry, RBI guidelines, and various debt instruments; Proficiency in MS Excel, Word, and PowerPoint This is a full-time, permanent position that offers the opportunity to work in a dynamic environment where you can leverage your expertise in banking, finance, and treasury to drive successful project financing initiatives.,
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posted 1 month ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Corporate Finance
  • Fund Raising
  • Capital Markets
  • Financial Instruments
  • Financial Modeling
  • Liquidity Management
  • Communication Skills
  • Negotiation Skills
  • Analytical Skills
  • Fundraising Strategies
  • Debt Structuring
  • Legal
  • Financial Structures
Job Description
As a candidate for the position, you will be responsible for the following key responsibilities: - Developing and executing debt funding strategies aligned with the company's financial goals and objectives. - Leading in the structuring, pricing, and execution of debt transactions such as bonds, loans, and credit facilities. - Building and managing relationships with banks, financial institutions, and investors. - Leading discussions with banks, internal stakeholders, and other relevant parties for the closure of loan documentation to ensure timely disbursement. - Monitoring and managing the company's cash flow to meet liquidity requirements while balancing short-term and long-term capital needs. - Ensuring compliance with all relevant regulations and reporting requirements in debt transactions. - Managing external credit rating agencies on an ongoing basis. - Ensuring accurate accounting of book entries in ERP related to the debt portfolio. Qualifications required for this role include: - CA/MBA with a finance background. - At least 7-8 years of experience in Corporate Finance with a focus on Fund Raising. - Strong knowledge of capital markets, financial instruments, and fundraising strategies. - Successful track record of closing debt raising transactions in India. - Experience with financial modeling, debt structuring, and liquidity management. - Good understanding of legal and financial structures. - Complete knowledge of debt deal life cycles. - Excellent communication and negotiation skills. - Strong analytical skills and attention to detail. No additional details of the company were provided in the job description.,
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posted 2 days ago

Management Trainee - Corporate Finance Division

GRASIM INDUSTRIES LIMITED ( ADITYA BIRLA GROUP)
experience0 to 4 Yrs
location
Maharashtra
skills
  • Finance
  • Audit
  • Accounts
  • Financial Operations
  • Chartered Accountants
Job Description
As a Management Trainee in Grasim's Corporate Finance Division, you will be part of a program designed to nurture future finance leaders like yourself. Through three structured rotations, you will gain hands-on experience in finance, audit, and accounts, preparing you for a leadership role within the company. Upon successful completion, you will have the chance to secure a full-time position in any of Grasim's businesses based on your performance and organizational needs. **Key Responsibilities:** - Undergo three structured rotations to gain exposure to finance, audit, and accounts. - Participate in immersive hands-on experiences in key financial domains. - Obtain a holistic view of the company's financial operations. - Prepare for a leadership position within Grasim Industries. **Qualifications Required:** - Chartered Accountant with CA examinations cleared in either January 2025 or May 2025. **What We Offer:** - Competitive salary and benefits package. - Structured mentorship from senior finance leaders. - Exposure to real-world application of financial concepts. - Fast-track growth opportunities within Grasim Industries. - Dynamic and supportive work environment. If you are an ambitious, analytical, and proactive Chartered Accountant looking to kickstart your career in finance, this Management Trainee Program in Mumbai, Maharashtra, India, could be the perfect opportunity for you. To apply, send your CV to sonali.borage-st@adityabirla.com with the subject line "Management Trainee Application - Grasim Corporate Finance Division." The application deadline is 18th July 2025.,
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posted 1 week ago
experience10 to 14 Yrs
location
Karnataka
skills
  • Financial analysis
  • Market intelligence
  • Valuation
  • Financial modeling
  • Business development
  • Client relationship management
  • Training
  • Interpersonal skills
  • Management presentations
  • Mentorship
  • Analytical capabilities
  • Creative thinking
  • Technical knowledge
  • Leadership qualities
Job Description
You will be joining the Corporate Finance & Investment Banking practice, where the focus is on providing financial & strategic solutions to clients through in-depth analysis and evaluation of alternatives. Leveraging a global network of 2,500+ corporate finance professionals across 100+ countries, you will be enhancing market intelligence to add value to clients. **Responsibilities:** - Lead the day to day execution of transactions - Assist in planning and marketing client mandates - Prepare confidential information memorandum, financial models, management presentations, and execution-related presentations - Develop, analyze, and interpret historical and projected financial information - Conduct valuations of businesses and companies - Prepare marketing pitches and presentations for business development - Build and maintain relationships with clients, prospective clients, and professional advisors - Mentor and train junior team members - Perform other administrative management duties as required by the firm **Qualification:** - CA or MBA **Experience:** - At least 10 years of experience in IT/ITES **Competencies:** - Analytical capabilities - Creative and Innovative thinking - Strong Technical Knowledge - Leadership qualities - Persistent and persuasive - Interpersonal Relationship & Respect,
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posted 2 weeks ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Financial analysis
  • Strategic planning
  • Market intelligence
  • Valuation
  • Financial modeling
  • Client management
  • Business development
  • Training
  • Analytical skills
  • Leadership
  • Interpersonal skills
  • Mentorship
Job Description
You will be joining the Corporate Finance & Investment Banking department as a Manager in Bangalore. Your primary responsibilities will include: - Leading the day-to-day execution of transactions - Assisting in planning and marketing client mandates - Preparing confidential information memorandums, financial models, and management presentations - Developing, analyzing, and explaining historical and projected financial information - Conducting valuations of businesses and companies - Assisting in the preparation of marketing pitches and presentations for business development - Building and maintaining relationships with current clients, prospective clients, and professional advisors - Providing mentorship and training to junior team members - Performing other administrative management duties as required by the firm To excel in this role, you should possess the following qualifications and competencies: Qualifications: - At least 5 years of experience in IT & ITES - CA or MBA Competencies: - Analytical capabilities - Creative and innovative thinking - Strong technical knowledge - Leadership qualities - Persistence and persuasiveness - Strong interpersonal relationship skills and respect Join the team at Corporate Finance & Investment Banking and leverage your expertise to provide financial and strategic solutions to clients.,
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posted 2 months ago

Corporate Finance Manager

Finance and Tax Intelligence
experience0 to 4 Yrs
location
All India
skills
  • Corporate finance
  • Analyzing financial statements
  • Lending practices
Job Description
As a Commerce Graduate in Corporate Financing, your role will involve analyzing financial statements and utilizing your basic knowledge of corporate finance and lending. Freshers are welcome to apply, and having prior experience in the field will be considered a plus. Key Responsibilities: - Analyzing financial statements - Applying basic knowledge of corporate finance - Understanding lending practices Qualifications Required: - Commerce Graduate - Strong understanding of financial statements - Basic knowledge of corporate finance and lending,
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posted 1 day ago
experience0 to 4 Yrs
location
Hyderabad, Telangana
skills
  • Journal Entries
  • Auditing
  • Financial Reporting
  • Budgeting
  • Accounting Software
  • Communication Skills
  • Integrity
  • Confidentiality
  • Chartered Accountant
  • Accounting Principles
  • Financial Closing Procedures
  • Monthend Accruals
  • Financial Statements Preparation
  • Expense Reimbursement
  • Invoices Processing
  • Organizational Skills
  • Problemsolving
Job Description
As a Finance Specialist at MTX Group Inc., you will play a crucial role in India Corporate Finance. We are looking for a motivated and detail-oriented Chartered Accountant (CA) Fresher from the 2025 batch, with a solid understanding of accounting principles and financial closing procedures. **Key Responsibilities:** - Prepare month-end accruals - Assist in the preparation of financial statements - Review and approve expense reimbursement requests - Document financial transactions accurately - Process journal entries and invoices - Substantiate financial transactions through auditing documents - Collaborate with cross-functional teams to verify the authenticity of invoices - Assist in the preparation of financial reports and dashboards - Compare budget versus actuals to report any discrepancies **Qualifications Required:** - Chartered Accountant (CA) Fresher from the 2025 batch - Strong communication, reporting, and organizational skills - Proficiency in accounting software like Zoho Books or similar platforms - Ability to work efficiently in a team environment and meet strict deadlines - Maintain accuracy in financial records - Uphold the highest standards of integrity and confidentiality - Ability to articulate financial information clearly and concisely to various stakeholders - Attention to detail, commitment to excellence, and a proactive approach to problem-solving By joining MTX, a global technology consulting firm that specializes in digital transformation, you will have the opportunity to contribute to long-term strategic outcomes focused on happiness, health, and economic empowerment.,
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posted 2 weeks ago
experience7 to 12 Yrs
location
All India
skills
  • Fund Raising
  • Financial Modelling
  • Project Finance
  • Banking Relationships
  • Credit Rating
  • Compliance
  • Cash Management
  • Liquidity Management
  • MS Excel
  • MS Word
  • MS PowerPoint
  • Loan Documentation
Job Description
Role Overview: As a professional in Banking/Treasury/Corporate Finance, your main responsibility will be to manage fund raising activities for various project SPVs and InvITs through bank loans, NCDs, and other financial instruments. You will be tasked with preparing detailed information memorandums and term sheets for loan applications, conducting financial modeling, and ensuring compliance with loan documentation requirements and project finance standards. Additionally, you will be responsible for maintaining strong relationships with banks, coordinating with internal teams to provide necessary information to lenders, and managing cash and liquidity. Key Responsibilities: - Raise funds for project SPVs and InvIT through bank loans, NCDs, etc. - Prepare information memorandums and term sheets for loan applications. - Conduct financial modeling. - Coordinate with banks for loan management. - Liaise with banks to maintain banking relationships. - Engage with rating agencies for credit rating of loans. - Provide necessary information to lenders by coordinating with internal teams. - Ensure regular compliance with loan requirements. - Engage with financial, technical, and legal consultants. - Maintain MIS related to loans, covenants, etc. - Manage cash and liquidity effectively. Qualifications Required: - Educational Background: CA/MBA (Finance) - Work Experience: 7 to 12 years - Knowledge/Skills: Understanding of the banking industry, RBI guidelines, various debt instruments. Proficiency in MS Excel, Word, PowerPoint. Note: The job is full-time and permanent, offering a challenging opportunity to utilize your expertise in banking, treasury, and corporate finance. Role Overview: As a professional in Banking/Treasury/Corporate Finance, your main responsibility will be to manage fund raising activities for various project SPVs and InvITs through bank loans, NCDs, and other financial instruments. You will be tasked with preparing detailed information memorandums and term sheets for loan applications, conducting financial modeling, and ensuring compliance with loan documentation requirements and project finance standards. Additionally, you will be responsible for maintaining strong relationships with banks, coordinating with internal teams to provide necessary information to lenders, and managing cash and liquidity. Key Responsibilities: - Raise funds for project SPVs and InvIT through bank loans, NCDs, etc. - Prepare information memorandums and term sheets for loan applications. - Conduct financial modeling. - Coordinate with banks for loan management. - Liaise with banks to maintain banking relationships. - Engage with rating agencies for credit rating of loans. - Provide necessary information to lenders by coordinating with internal teams. - Ensure regular compliance with loan requirements. - Engage with financial, technical, and legal consultants. - Maintain MIS related to loans, covenants, etc. - Manage cash and liquidity effectively. Qualifications Required: - Educational Background: CA/MBA (Finance) - Work Experience: 7 to 12 years - Knowledge/Skills: Understanding of the banking industry, RBI guidelines, various debt instruments. Proficiency in MS Excel, Word, PowerPoint. Note: The job is full-time and permanent, offering a challenging opportunity to utilize your expertise in banking, treasury, and corporate finance.
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posted 1 week ago

Corporate Finance

Biocon Biologics
experience7 to 11 Yrs
location
Karnataka
skills
  • Business Partnering
  • Variance Analysis
  • Financial Modeling
  • Cost Management
  • Scenario Analysis
  • Stakeholder Management
  • Process Improvement
  • SAP
  • MS Excel
  • PowerPoint
  • Analytical Skills
  • Communication Skills
  • Networking Skills
  • Time Management
  • Accounting
  • Financial Planning Analysis
  • Reporting Dashboards
  • Compliance Risk Management
Job Description
Role Overview: At Biocon Biologics, you will be a part of a leading company in the biosimilars revolution, with a vision to impact a billion lives through affordable innovation, patient centricity, and disruptive thinking. As a member of the Finance team, you will play a crucial role in financial planning & analysis, business partnering, variance analysis, financial modeling, reporting, cost management, scenario analysis, stakeholder management, process improvement, compliance, and risk management. Key Responsibilities: - Lead budgeting, forecasting, and long-term financial planning processes. - Collaborate with key stakeholders across business functions to provide financial insights and recommendations. - Conduct variance analysis on financial performance against budget/forecast and provide actionable insights. - Develop and maintain financial models to support business planning and decision-making. - Prepare monthly/quarterly financial reports, dashboards, and presentations for senior leadership. - Analyze costs, profitability, and business performance to optimize financial outcomes. - Evaluate various business scenarios and their financial impact, providing data-driven recommendations. - Work closely with senior executives, finance teams, and other departments to drive financial strategies. - Continuously enhance FP&A processes and financial reporting frameworks. - Ensure compliance with internal controls, financial policies, and external regulations. Qualification Required: - Experience of 7+ years. - Chartered Accountant / MBA qualification. - Ability to manage a team of 3-5. - Hands-on experience with SAP will be an added advantage. - Ability to understand and effectively apply technical accounting guidance for Revenue and Capex accounting. - Excellent analytical skills. - Stakeholder management skills. - Proficient in MS Excel and PowerPoint. - Excellent Communication Skills (Written & Oral) and Networking skills. - Flexibility and open-mindedness to adapt to dynamic business environments. - Time management and ability to prioritize work/multitasking. - Strong command over accounting. - Result-oriented approach.,
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posted 1 week ago
experience1 to 5 Yrs
location
Kerala, Thiruvananthapuram
skills
  • Financial Reporting
  • Budgeting
  • Forecasting
  • Financial Analysis
  • Microsoft Excel
  • Power BI
  • VB
  • SQL
  • Communication
  • Interpersonal Skills
Job Description
Role Overview: You will be supporting the FP&A team in preparing financial reports, budgets, and forecasts. Your role will involve analyzing financial data, identifying key trends, and providing meaningful insights. Collaboration with cross-functional teams to gather relevant financial information will be essential. Additionally, you will assist in developing and maintaining financial models for accurate planning, contribute to the preparation of management presentations on financial performance, and participate in ad-hoc analysis and special projects as required. Identifying process improvements to enhance the efficiency and effectiveness of financial planning and analysis activities will also be part of your responsibilities. Key Responsibilities: - Support the FP&A team in preparing financial reports, budgets, and forecasts - Analyze financial data and identify key trends to provide meaningful insights - Collaborate with cross-functional teams to gather relevant financial information - Develop and maintain financial models for accurate planning - Contribute to the preparation of management presentations on financial performance - Participate in ad-hoc analysis and special projects as required - Identify process improvements to enhance the efficiency and effectiveness of financial planning and analysis activities Qualifications Required: - Bachelor's degree in finance, Accounting, CA/CMA Inter, MBA Finance or equivalent - Strong analytical skills and attention to detail - High proficiency in Microsoft Excel and Power BI - Working knowledge in VB/SQL is a plus - Effective communication and interpersonal skills - Ability to work in a collaborative team environment - Eagerness to learn and adapt in a dynamic work environment - 1-2 years of experience in Internal/External Reporting Additional Company Details: Guidehouse offers a comprehensive, total rewards package that includes competitive compensation and a flexible benefits package reflecting their commitment to creating a diverse and supportive workplace. Guidehouse is an Equal Opportunity Employer, providing protection to Veterans, Individuals with Disabilities, and any other basis protected by law, ordinance, or regulation. They will consider employment for qualified applicants with criminal histories in accordance with applicable laws. If accommodation is required during the recruitment process, applicants can contact Guidehouse Recruiting for assistance. Guidehouse emphasizes that they will never charge a fee or require a money transfer at any stage of the recruitment process and do not collect fees from educational institutions for participation in recruitment events.,
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posted 2 weeks ago

Corporate Finance

VIVRO Financial Services
experience3 to 7 Yrs
location
Gujarat, Ahmedabad
skills
  • Financial Modeling
  • Projections
  • Due Diligence
  • Corporate Finance
  • TEV Studies
  • CMA Reports
  • Ratio
  • Financial Analysis
Job Description
As a Financial Analyst at our company, your responsibilities will include: - Preparation of Financial Models, TEV Studies, and CMA Reports - Conducting Projections, Ratio and Financial Analysis - Participating in Due Diligence processes - Handling other functions related to Corporate Finance The qualifications required for this role are: - Civil Engineer Preferred or any other equivalent Engineering degree holder - MBA (Finance), CFA, or MS (Finance) is compulsory - 3-5 years of relevant experience Please note that the additional details of the company were not provided in the job description.,
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posted 2 weeks ago

Deputy Manager Corporate Finance

Daga Infratech Pvt Ltd
experience5 to 9 Yrs
location
Amravati, Maharashtra
skills
  • Financial transactions
  • Statutory compliances
  • Contracts
  • Tally
  • Computer Skills
  • Income Tax
  • GST
  • TDS
  • PF
  • ESIC
  • Financial culture
  • Leases
Job Description
As a Dy. Manager (Corporate Finance), you will be responsible for verifying overall sale/purchase and other financial transactions of the company, including cash. You will need to implement a robust financial culture, ensuring discipline in each financial dealing. Your role will involve handling all statutory compliances and verifying/preparing all leases, contracts, renewals, and other financial commitments. Your key responsibilities will include: - Handling all the documents and maintaining complete and accurate supporting information for all financial transactions - Providing additional analysis and reports as required by higher authorities - Arranging for periodic internal audits of the department - Being well versed in Tally and computer skills - Taking charge of all taxation matters, including Income Tax, GST, TDS, PF, and ESIC. This includes handling filing, compliances, assessments, replies to queries and notices, etc. Qualifications required for this role: - Proven experience in corporate finance roles - Strong understanding of financial principles and practices - Excellent knowledge of statutory compliances and taxation matters - Proficiency in Tally and computer skills - Relevant educational background in finance or accounting If there are any additional details about the company in the job description, please provide them.,
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posted 1 week ago
experience0 to 4 Yrs
location
Karnataka
skills
  • financial analysis
  • strategic analysis
  • research
  • fundraising
  • analytical skills
  • communication skills
  • corporate finance advisory
  • MA
Job Description
Role Overview: Alehar is a corporate finance and value creation advisory firm that supports companies and investors throughout the corporate finance lifecycle. The mission of Alehar is to provide essential corporate finance support to help business leaders in building extraordinary companies. Key Responsibilities: - Support team members in preparation of financial and strategic analyses - Research industry trends and prepare comprehensive sector reports - Support the execution of corporate finance advisory transactions - Aid in commercial activities to help source new clients - Support marketing initiatives and contribute to the creation of compelling content Qualifications Required: - Full-time availability - Strong academic background in finance, economics, or business, with preference for top-tier universities - Genuine interest in corporate finance, M&A, and fundraising - Strong analytical and communication skills - MBA graduates and near-graduating MBA students are welcome Additional Details: Alehar offers an international work culture based on transparency and direct communication. The company supports team members in their professional and personal development, providing ample opportunities for technical training, mentorship, and career growth. As a small team, interns receive exposure to various aspects of corporate finance advisory from day one. The internship duration is 2 to 4 months. If you are excited about supporting Fundraising, M&A, and Corporate Finance advisory at Alehar and contributing to the growth of extraordinary companies, please send your 1-page CV to internship@alehar.com.,
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posted 2 months ago
experience5 to 9 Yrs
location
Maharashtra
skills
  • Capital Markets
  • Loans
  • Financing
  • Relationship Management
  • Capital Structuring
  • Cash Management
  • SEBI Regulations
  • Company Law
  • Income Tax
  • Financial Reporting
  • Corporate Finance
  • Treasury Management
  • Risk Management
  • Compliance
  • Governance
  • Debt Financing
  • Credit Ratings
  • Debt Capital Market Issuances
  • Credit Ratings Criteria
  • Financing Strategies
  • RBI Regulations
  • Financial Policy Formation
Job Description
As a professional in debt financing and capital markets, you will be responsible for managing various aspects related to loans, financing, and credit ratings. Your key responsibilities will include: - Managing the raising of loans including Syndicated and Bilateral Loans, project loans, Revolving Credit Facilities, and working capital facilities in multiple jurisdictions and currencies. - Building and maintaining relationships with domestic and international Banks, FIs, debt Investors, and International Development banks. - Overseeing debt capital market issuances such as REGS Senior Bond Issuance and Non-Convertible Debenture issuance. - Handling domestic credit ratings (India Ratings, CARE Ratings, ICRA, CRISIL) & International Credit Ratings (S&P & Moodys) with a deep understanding of credit ratings criteria. - Developing financing strategies for senior management & Board approvals, monitoring markets, interest rates, liquidity, and optimizing risk vs. return. - Ensuring optimum capital structuring & cash management practices to maximize savings in alignment with business objectives & market trends. - Utilizing broad knowledge of RBI regulations, SEBI Regulations, Company Law, Income Tax, Financial Reporting to support strategic thinking and effective structuring of transactions. - Working across Corporate Finance, Treasury & Financial Reporting areas including Borrowings, liquidity Management, Risk Management, compliance, financial policy formation, and governance. Qualifications required for this role include: - CA/ICWA/MBA or PGDM in Finance - CFA certification This role offers you the opportunity to apply your expertise in debt financing and capital markets to drive financial success and strategic growth within the organization.,
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posted 2 months ago
experience0 to 4 Yrs
location
Karnataka
skills
  • Accounting
  • Financial Modeling
  • Corporate Finance
  • Excel
  • SQL
  • Power BI
  • Automation Tools
Job Description
As a Corporate Finance Intern in the FP&A department at this company, you will be involved in various financial activities under the guidance of the FP&A Lead and cross-functional stakeholders. Your main responsibilities will include: - Assisting in monthly book closure by handling journal entries, accruals, reconciliations, and month-end processes. You will also collaborate with internal teams to ensure timely and accurate closures. - Preparing and automating dashboards for revenue, expenses, cash flow, and KPIs. Additionally, you will help in creating internal performance decks and investor-ready reports. - Supporting annual and quarterly budget planning, analyzing budget vs actuals, and identifying trends and cost-saving opportunities. - Identifying manual finance operations and automating them using AI/low-code tools, as well as assisting in building reusable financial models and data templates. - Contributing to strategic and ad-hoc analysis related to unit economics, pricing, cohort analysis, and market benchmarking. You will also assist in handling investor queries, due diligence, and internal audits. - Reviewing documentation and compliance processes to support better audit readiness through stronger process hygiene. Qualifications required for this role include: - Currently pursuing or completed an MBA in Finance, or qualified/pursuing CA or CFA. - Strong understanding of accounting, financial modeling, and corporate finance fundamentals. - Proficiency in Excel and Google Sheets, with bonus points for knowledge in SQL, Power BI, or automation tools. - Ability to analyze complex data and derive actionable insights. - Detail-oriented, deadline-driven, proactive, analytical, and reliable. - Enthusiastic about working in a fast-paced environment where finance plays a crucial role in decision-making. This internship offers you the opportunity to work on high-impact projects in FP&A, fundraising, and internal strategy. You will gain insights into how a top AI company manages capital efficiency and global scale. Additionally, you will receive mentorship from senior finance leaders, exposure to cross-functional teams, and build valuable experience for future roles in high-growth finance positions at startups, VC funds, or corporate strategy roles post-MBA/CA.,
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posted 1 week ago

Corporate Finance & Accounts Lead

Peak Performance Advisors (OPS) PVTLTD
experience8 to 15 Yrs
location
Kerala
skills
  • Finance
  • Accounting
  • Financial Analysis
  • Budgeting
  • Forecasting
  • MIS Reporting
  • Compliance
  • Cost Optimization
  • Stakeholder Management
Job Description
As a Corporate Finance & Accounts Lead, your role will involve leading the financial strategy, planning, and governance functions. You will be responsible for ensuring accuracy, compliance, and providing strong analytical decision support for the leadership team. Key Responsibilities: - Build, maintain, and analyze advanced financial models including DCF, ROI, sensitivity & scenario models. - Provide strategic financial insights and recommendations to senior leadership. - Lead financial analysis, planning, and consulting functions with high accuracy and impact. - Oversee budgeting, forecasting, fund flow planning, and variance analysis across departments. - Prepare MIS reports, executive dashboards, and performance scorecards. - Ensure full statutory, regulatory, and financial compliance across processes. - Strengthen internal controls, drive cost optimization, and improve financial processes. - Supervise core accounting operations including AP/AR, reconciliations, audits, and finalization of accounts. Qualifications: - Education: CA, CMA (India/USA), ACCA, M.Com (Finance/Accounting), or Ph.D. in Finance/Accounting. - Experience: 8-15 years in corporate finance, strategic planning, consulting, or senior accounting roles. - Strong background in financial strategy, planning, and stakeholder management. - Hands-on knowledge of ERP systems, BI dashboards, and advanced analytics tools. What We Offer: - A strategic, high-impact role influencing major financial decisions. - Exposure to multi-industry financial advisory and consulting projects. - Flexible hybrid working with minimal on-site presence. - Competitive compensation and performance-focused culture. Please note that the work location for this role is remote, and the job type is full-time.,
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posted 1 month ago

Manager - Corporate Finance

Laxmi Diamonds Bengaluru
experience3 to 7 Yrs
location
Karnataka
skills
  • Analytical Skills
  • Financial Modeling
  • Finance
  • Financial Reporting
  • Strategic thinking
  • Financial Statements analysis
  • Problemsolving
Job Description
Role Overview: As a Manager - Corporate Finance at Laxmi Diamonds Bengaluru, you will be responsible for overseeing day-to-day financial activities. Your role will involve tasks such as financial modeling, analyzing financial statements, and financial reporting. Key Responsibilities: - Conduct financial modeling to support decision-making processes - Analyze financial statements to identify trends and variances - Prepare and present financial reports to senior management - Ensure accuracy and compliance in financial data and reports - Collaborate effectively with team members to achieve financial goals - Utilize strategic thinking and problem-solving skills to optimize financial performance Qualifications Required: - Possess strong analytical skills and proficiency in financial modeling - Previous experience in finance and financial reporting - Proficient in analyzing financial statements - Attention to detail and commitment to accuracy - Ability to work well in a team-oriented environment - Demonstrate strategic thinking and problem-solving abilities - Hold a Bachelor's degree in Finance, Accounting, or a related field,
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posted 3 weeks ago

Vice President Corporate Finance

RightMatch HR Services Private Limited
experience13 to 18 Yrs
location
All India
skills
  • Risk Assessment
  • Credit Analysis
  • Business Development
  • Financial Analysis
  • Acquisition Finance
  • Legal Due Diligence
  • MA Deals
  • Valuation Methodologies
Job Description
As a seasoned professional in the financial industry, you will be responsible for developing expertise in Acquisition Finance and staying updated with the latest developments in the sector. Your role will involve gathering comprehensive information through client interactions, conference participation, and document reviews. It will be crucial for you to ensure compliance with processes, conduct credit analysis, and assess risks associated with Acquisition Finance. Implementing risk mitigation strategies and overseeing legal documentation processes, including Legal Due Diligence (LLC), will also be part of your responsibilities. Additionally, you will be expected to share industry knowledge internally, focusing on recent developments in Acquisition Finance and M&A deals across various sectors. Driving business development and fostering the organization's culture within the team to align with desired behaviors will be key aspects of your role. Qualifications Required: - Master's degree in Business Administration with a specialization in Finance or an equivalent qualification. - Preferred certifications such as CFA (Chartered Financial Analyst), FRM (Financial Risk Manager), or similar credentials would be advantageous. Experience: - Essential: 13-18+ years of progressive experience in the financial industry with a significant focus on Acquisition Finance and related areas. Hands-on experience in managing 4-5 deals in Acquisition Finance/Structured Finance, along with knowledge of various valuation methodologies, is essential. - Preferred: Experience in deal assessment, financial analysis, and risk mitigation at a leadership level would be beneficial for this role. (Note: No additional details about the company were provided in the job description) As a seasoned professional in the financial industry, you will be responsible for developing expertise in Acquisition Finance and staying updated with the latest developments in the sector. Your role will involve gathering comprehensive information through client interactions, conference participation, and document reviews. It will be crucial for you to ensure compliance with processes, conduct credit analysis, and assess risks associated with Acquisition Finance. Implementing risk mitigation strategies and overseeing legal documentation processes, including Legal Due Diligence (LLC), will also be part of your responsibilities. Additionally, you will be expected to share industry knowledge internally, focusing on recent developments in Acquisition Finance and M&A deals across various sectors. Driving business development and fostering the organization's culture within the team to align with desired behaviors will be key aspects of your role. Qualifications Required: - Master's degree in Business Administration with a specialization in Finance or an equivalent qualification. - Preferred certifications such as CFA (Chartered Financial Analyst), FRM (Financial Risk Manager), or similar credentials would be advantageous. Experience: - Essential: 13-18+ years of progressive experience in the financial industry with a significant focus on Acquisition Finance and related areas. Hands-on experience in managing 4-5 deals in Acquisition Finance/Structured Finance, along with knowledge of various valuation methodologies, is essential. - Preferred: Experience in deal assessment, financial analysis, and risk mitigation at a leadership level would be beneficial for this role. (Note: No additional details about the company were provided in the job description)
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