cash-flow-forecasting-jobs-in-warangal, Warangal

43 Cash Flow Forecasting Jobs nearby Warangal

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posted 2 months ago
experience5 to 9 Yrs
location
Hyderabad, Telangana
skills
  • Relationship Building
  • Market Analysis
  • Negotiation
  • Financial Analysis
  • Team Leadership
  • Leasing Strategies
  • Documentation Management
  • Tenant Management
  • Crossfunctional Collaboration
Job Description
As a Leasing Manager, your role involves formulating and implementing leasing strategies to achieve targeted occupancy and revenue goals. You will be responsible for identifying and approaching prospective tenants, including corporate, retail, and co-working operators. Building and maintaining strong relationships with corporate clients, IPCs, and key industry stakeholders will be crucial. Key Responsibilities: - Analyze market trends, competitor activities, and rental benchmarks to support pricing and positioning decisions. - Develop marketing and promotional plans for leasing commercial assets. - Lead negotiations on commercial terms, rental structures, and lease conditions. - Coordinate with the Legal team for timely finalization of Letters of Intent (LOIs), Agreements to Lease (ATLs), and Lease Deeds. - Ensure lease documentation adheres to company policies and statutory requirements. - Manage leasing activities across existing and upcoming commercial projects (office and retail). - Monitor tenant mix, lease renewals, and expiries to ensure continuous occupancy. - Maintain excellent tenant relationships and act as a single point of contact for all leasing-related matters. - Coordinate with Operations, Projects, and Facility Management teams for tenant fit-outs and handovers. - Track and monitor leasing revenues, rental collections, and cash flow projections. - Prepare leasing status reports, MIS, dashboards, and presentations for senior management. - Support budgeting and forecasting for the leasing function. - Lead and mentor the leasing team to achieve departmental objectives. - Collaborate cross-functionally with Finance, Legal, Projects, and Marketing teams to ensure smooth execution of lease transactions. Qualifications Required: - Bachelor's degree in Business Administration, Real Estate, or related field. - Proven experience in leasing management, preferably in commercial real estate. - Strong negotiation and communication skills. - Ability to analyze market trends and make data-driven decisions. - Knowledge of lease documentation and statutory requirements. - Proficiency in preparing reports, MIS, and presentations. - Leadership and mentoring capabilities to guide the leasing team effectively. If there are any additional details about the company in the job description, please provide those details separately.,
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posted 2 months ago
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Financial Analysis
  • Budgeting
  • Forecasting
  • Variance Analysis
  • Trend Analysis
  • Financial Modeling
  • Cash Flow Management
  • Liquidity Management
  • Working Capital Management
  • Financial Reporting
  • Excel
  • Communication Skills
  • Interpersonal Skills
  • Treasury Functions
  • Financial Software
Job Description
Role Overview: You are sought after to join the team as a qualified and experienced Financial Planning & Analysis (FP&A) / Treasury professional. Your role will be crucial in driving financial performance, managing liquidity, and assisting in strategic decision-making. Your strong background in financial analysis, budgeting, forecasting, and treasury functions will be valuable in this position. Key Responsibilities: - Perform financial analysis, including variance analysis, trend analysis, and financial modeling to support decision-making processes. - Develop and maintain financial models and forecasts to assist in budgeting, forecasting, and long-term financial planning. - Assist in preparing monthly, quarterly, and annual financial reports for management and stakeholders. - Monitor cash flow, liquidity, and working capital to ensure adequate funds are available for operational needs. - Manage treasury functions, including cash management, banking relationships, and investment strategies. - Collaborate with cross-functional teams to provide financial insights and support strategic initiatives. - Conduct ad-hoc financial analysis and special projects as assigned by management. Qualification Required: - Chartered Accountant (CA) or Certified Public Accountant (CPA) qualification required. - Bachelor's degree in Accounting, Finance, or related field. Additional Details: Omit this section as there are no additional details of the company mentioned in the job description.,
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posted 2 months ago
experience10 to 14 Yrs
location
Hyderabad, Telangana
skills
  • Scrum
  • Agile
  • Communication
  • Facilitation
  • Stakeholder Management
  • Project Delivery
  • Profitability
  • ALM
  • Business Strategy
  • Risk Management
  • CSAT
  • Collaboration
  • Performance Management
  • Cash Flow Management
  • Invoicing
  • SoSM
  • Budget Allocation
  • Program Health
  • Metrics Tracking
  • Capacity Allocation
  • Architecture Runway Elaboration
  • Release Planning
  • Resource Forecasting
Job Description
Role Overview: As an experienced Scrum / Agile practitioner, you will be responsible for managing the overall dependencies across multiple programs in a value stream. Your role will involve leveraging strong domain, business, and technical knowledge, along with exceptional communication and facilitation skills. You will oversee the coordination of 10-15 Scrum teams during releases, ensuring project delivery and profitability from Wipro's perspective. Collaborating closely with ALM/SoSM, you will work towards enhancing team competency for operational efficiencies. Key Responsibilities: - Ensure alignment with the programme(s) objectives in a LOB - Understand and allocate budget across various programme streams for different Wipro Scrum Teams - Interface with SoSMs to manage dependencies across single/multiple programmes - Track program health and maturity, monitoring key metrics at a LOB level - Define capacity allocation of Wipro Scrum teams across programmes in the LOB - Collaborate with business and system architects on architecture runway elaboration - Adhere to MoSCoW (or similar methodology) for Program Backlog at the Program level - Participate in Release Planning Meetings to synchronize teams across locations - Build synergies between scrum teams across locations and stakeholders - Participate in LOB level Scrum of Scrum meetings and Governance meetings - Highlight risks and dependencies across all programs to ensure release goals are achieved - Resolve impediments and escalate as needed to ensure smooth sprint execution - Ensure CSAT as per organization norms and expectations - Enable collaboration between Dev, Ops, and stakeholders for required environment availability - Interact with Agile Line Manager to resolve internal impediments - Expand Wipro footprint and ensure repeat business in the LOB - Communicate team success to clients and stakeholders - Participate in CoP initiatives and represent the account in internal forums - Responsible for performance management and account profitability - Ensure resource forecast accuracy and invoicing (if SOW is at program level) - Approve PDMR (if SoSM / ALM is not available) Qualification Required: - Experience of more than 10 years in a relevant role (Note: Additional details about the company were not provided in the Job Description),
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posted 2 months ago

Financial Planning Analyst

Signode India Limited
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Financial forecasting
  • Financial reporting
  • Business analytics
  • Financial planning
  • Financial analysis
  • Financial modeling
  • Variance analysis
  • Cost analysis
  • Market analysis
  • Cash flow analysis
  • Operational metrics tracking
  • Capital expense requisitions
Job Description
As a Financial Analyst at Signode, you will play a crucial role in the financial management and decision-making processes of the company. Your responsibilities will include: - Performing financial forecasting, reporting, and operational metrics tracking. - Conducting deep business analytics to enable impactful decision-making. - Preparing and reviewing financial plans and analyzing periodic results of entities. - Creating financial models to facilitate decision-making and reporting on financial performance. - Analyzing past results, performing variance analysis, identifying trends, and recommending improvements. - Working closely with the accounting team to ensure accurate financial reporting. - Evaluating financial performance by comparing actual results with plans and forecasts. - Conducting cost and financial analysis, benchmarking, and spread analysis. - Analyzing market and product-specific data for business insights. - Reviewing capital expense requisitions and analyzing the impact of foreign exchange fluctuations. - Assisting in make or buy decisions, internal sourcing feasibility studies, and qualitative analysis for business efficiency improvement. Qualification Required: - CA with a strong FP&A background. - Good academic record with 60% & above across all academics. Experience: - 1 to 3 years of experience in business finance or relevant fields in the industry/professional firm. - Proficiency in financial modeling techniques. Computer Skills: - Proficiency in Oracle, OneStream, and Power BI. - Strong fluency with Excel and MS Office. Join Signode, a leading transit-packaging provider, and be part of a global team dedicated to offering innovative solutions to customers worldwide.,
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posted 2 months ago
experience5 to 9 Yrs
location
Hyderabad, Telangana
skills
  • Financial Planning
  • Forecasting
  • Cash Flow Analysis
  • Balance Sheet Analysis
  • Variance Analysis
  • Cash Application
  • Billing Process
  • Aging Reports
  • Advanced Excel
  • BI Tools
  • US GAAP
  • Microsoft Dynamics AX
  • Hyperion Financial Management
  • Profit
  • Loss Analysis
  • Key Performance Indicators Analysis
  • Corporate Consolidation Analysis
  • Month End Close Activities
  • AR Processes
  • ERP Tools
  • MediaOcean
Job Description
Role Overview: As part of the second largest advertising agency holding company in the world, you will be responsible for preparing and maintaining regular financial planning forecasts and reports for various agencies or locations based on business needs. You will also work closely with OPMG Corporate FP&A to manage reporting entities and consolidate results in HFM. Additionally, you will review close activities, provide analysis on variance analysis to senior management, analyze KPI trends, support corporate consolidation analysis, perform cash application and billing processes, and assist in month-end close activities for all businesses. Key Responsibilities: - Prepare and maintain regular financial planning forecast and reports including monthly profit and loss, cash flow, and balance sheet by various agencies or locations - Work with OPMG Corporate FP&A to manage reporting entities and consolidate results in HFM - Review month/quarter/year close activities for all businesses - Provide meaningful analysis on variance analysis to senior management - Analyze trends of Key Performance Indicators (KPIs) and identify causes of unexpected variances - Support corporate consolidation analysis and reporting including yearly operating plan - Perform cash application and billing processes - Prepare aging reports - Assist in month-end close activities for all businesses Qualifications: - Bachelor's or Post Graduate Degree in accounting or finance with 3-5 years of experience in FP&A Operations (mandatory) - Prior experience in AR processes is preferred - Proficient in Advanced Excel and ability to quickly learn new ERP or BI Tools - Good Knowledge of US GAAP - Flexibility to take up different assignments and not limit oneself to specific activities - Ability to work independently and in a collaborative team environment - Flexible, result-oriented, with strong written and oral communication skills - Experience in Microsoft Dynamics AX, MediaOcean, and Hyperion Financial Management tool is a plus (Note: The additional details about the company were not included in the provided job description),
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posted 2 weeks ago

Accountant

Motifire Management Services Pvt. Ltd
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Accounting
  • Financial Analysis
  • Property Management
  • US GAAP
  • Variance Analysis
  • Financial Reporting
  • Budgeting
  • Client Interaction
  • Bank Reconciliations
  • ARAP Reconciliation
Job Description
As a Property Management Accounting Team Member at QC HR Services, you will play a crucial role in maintaining financial records and providing key financial insights for property management processes. Your role will require a solid grasp of accounting principles, US GAAP compliance, and effective communication skills to collaborate with both onshore and offshore teams. You will need to demonstrate initiative, motivation, and a flexible problem-solving approach to excel in this fast-paced environment. **Key Responsibilities:** - Maintain the general ledger, post transactions, and assist in month-end and year-end closing procedures. - Prepare and review Financial Statements (Balance Sheet, Income Statement, and Cash Flow) according to US GAAP standards. - Record property-related transactions accurately, including maintenance costs, taxes, insurance, and operational expenses. - Generate monthly and quarterly reports with budget versus actual performance analysis. - Provide financial metrics like Net Operating Income (NOI), Cap Rate, and ROI to facilitate management decisions. - Support in property tax filings, vendor 1099 forms preparation, and other compliance-related tasks. - Assist in creating property budgets, financial forecasts, and cash flow forecasting. - Reconcile accounts and clear any unreconciled transactions, ensuring accuracy. - Collaborate with property managers and financial analysts for timely financial reporting. **Qualifications Required:** - Commerce Graduate with a strong understanding of US Accounting principles, US GAAP, and property tax regulations. - 2-4 years of experience in property management or real estate accounting. - Proficiency in property management software like Yardi, AppFolio, or MRI Software is preferred. - Experience in bank reconciliations, AR/AP reconciliation, and financial reporting. - Skilled in preparing financial statements, conducting variance analysis, and budgeting. - Excellent communication skills and client interaction experience, especially with US-based teams. - Eagerness to learn and grow in the property management accounting field. - Willingness to work in US shifts and join the office immediately. - Prior experience in US Property Management Accounting is essential for consideration. You will be a part of the Outsourcing / BFSI / Accounting industry, working full-time in the night shift from 5:30 PM to 2:30 AM at Madhapur, Hyderabad. Immediate joiners with the ability to work in person are preferred for this role.,
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posted 2 months ago

Financial Analyst

SHARMA TRADERS ENTERPRISES
experience1 to 6 Yrs
Salary9 - 12 LPA
location
Hyderabad, Bangalore+8

Bangalore, Noida, Chennai, Kolkata, Gurugram, Pune, Mumbai City, Delhi, Port Blair

skills
  • analytical
  • budgeting
  • detail
  • a
  • experience
  • knowledge
  • abilities.
  • analyst
  • to
  • modeling.
  • in
  • proficiency
  • financial
  • similar
  • with
  • skills
  • quantitative
  • of
  • as
  • forecasting.
  • strong
  • role.
  • proven
  • statements
  • excellent
  • attention
  • problem-solving
Job Description
We are looking for a skilled and analytical Financial Analyst to assess financial performance and provide strategic insights. The ideal candidate will have a strong understanding of financial principles, excellent analytical skills, and the ability to interpret complex data. If you are detail-oriented, proactive, and passionate about driving financial success, we want to hear from you! Roles & ResponsibilitiesAnalyze financial data to identify trends, variances, and key performance indicators.Develop financial models for forecasting, budgeting, and scenario analysis.Prepare financial reports, including balance sheets, income statements, and cash flow statements.Conduct variance analysis to compare actual performance against forecasts and budgets.Provide strategic financial insights to support business decision-making.Evaluate investment opportunities and assess financial risks.Collaborate with management to develop and implement financial strategies.Monitor industry trends and economic factors to assess business impact.Assist in budgeting and forecasting processes for accurate financial planning.Perform cost analysis to optimize expenses and improve profitability.Coordinate with accounting teams to ensure accurate financial reporting.Review financial statements for compliance with accounting standards and regulations.
posted 2 months ago
experience15 to 20 Yrs
Salary12 - 20 LPA
location
Hyderabad, Bhubaneswar+4

Bhubaneswar, Indore, Kolkata, Pune, Delhi

skills
  • tax management
  • balance sheet
  • general accounting
  • taxation
  • financial management
  • tds return
  • cash flow management
  • bank reconciliation
  • balance sheet finalisation
  • finance accounts
Job Description
Position: Senior Manager Finance & Accounts Experience: 15-20 Years Location Gurgaon, Indore, Pune, Kolkata, Bhubaneswar and Hyderabad Salary: 15 PLA to 20 LPA/- Max Key Responsibilities Handle GST, TDS, income tax, Financial Reporting & Accounting Prepare accurate financial statements aligned with accounting standards. Manage general ledger, accounts payable/receivable, reconciliations, and monthend/yearend closing. Compliance & Audit Collaborate with auditors and manage taxation and filing. Budgeting & Forecasting Conduct budgeting, forecasting, MIS reporting, financial planning, and offer insights for management decisions. Controls & Process Improvement Implement internal controls, maintain audit trails, and facilitate effective financial governance. Identify and drive process optimizations in accounting and financial operations. Cash & Fund Management Monitor cash flow, working capital, and manage banking relations. Interested can call and their update resume to WhatsApp No. is 9.2.1.1.6.1.8.4.4.8 Mail hr1.recruitmentconsultants at gmail dot com
posted 2 weeks ago

Accountant Manager

ASSETCARE SERVICES PRIVATE LIMITED
ASSETCARE SERVICES PRIVATE LIMITED
experience1 to 5 Yrs
Salary7 - 16 LPA
WorkContractual
location
Nellore, Hyderabad+8

Hyderabad, Bangalore, Chennai, Noida, Vijayawada, Vishakhapatnam, Chittoor, Gurugram, Guwahati

skills
  • budgeting
  • leadership
  • reconciliation
  • communication
  • management
  • risk
  • account
Job Description
An accounting manager oversees a company's financial operations by leading the accounting team, ensuring accurate financial records, and preparing financial reports. Key responsibilities include managing budgets and forecasts, conducting internal audits, and ensuring compliance with financial regulations. They also play a crucial role in strategic financial planning and decision-making Financial reporting:  Prepare, review, and analyze financial statements, such as balance sheets and income statements, and present them to senior management.    Team leadership:  Supervise and mentor the accounting staff, delegate tasks, and ensure the team meets deadlines.    Budgeting and forecasting:  Develop and manage budgets, monitor financial performance against the budget, and forecast future financial needs.    Compliance and auditing:  Ensure compliance with relevant financial regulations, coordinate annual audits, and implement internal controls.    Financial analysis:  Monitor and analyze accounting data to identify trends and provide insights for strategic decision-making.    Process management:  Establish and refine accounting policies, procedures, and internal processes to improve efficiency and accuracy.    Daily operations:  Oversee daily financial activities, including cash flow, transactions, and account reconciliation.      Communication    Leadership Account reconciliation Adaptability   Risk Management Budgeting
posted 2 months ago

Financial Manager

SHARMA TRADERS ENTERPRISES
experience7 to 12 Yrs
WorkContractual
location
Hyderabad, Bardhaman+8

Bardhaman, Navi Mumbai, Uttar Dinajpur, Thane, Mumbai City, Dakshin Dinajpur, Darjeeling, Purba Medinipur, Jalpaiguri

skills
  • excellent analytical problem-solving skills.
  • experience in financial forecasting risk management.
  • strong leadership team management abilities.
  • tax laws.
  • strong knowledge of financial regulations accounting principles
Job Description
We are looking for a Financial Manager to oversee all financial operations, planning, and risk management. The ideal candidate will have strong analytical skills, experience in financial reporting, and the ability to develop strategies for long-term financial growth. You will work closely with senior management to enhance financial performance and business decision-making. Roles & ResponsibilitiesDevelop and implement financial strategies to achieve company goals.Prepare financial statements, forecasts, and business reports.Analyze financial data to identify trends, risks, and opportunities.Monitor company cash flow, budgeting, and financial planning.Ensure compliance with tax laws, regulations, and internal controls.Collaborate with auditors, investors, and financial institutions.Evaluate investment opportunities and financial risk management.Supervise accounting and finance teams.Implement cost-saving initiatives and financial efficiency measures.Advise senior executives on financial performance and strategic planning.
posted 2 months ago

Financial Analyst

Future Solution Centre
experience10 to 20 Yrs
location
Hyderabad, Bangalore+8

Bangalore, Chennai, Noida, Nagaon, Kolkata, Gurugram, Pune, Mumbai City, Delhi

skills
  • data
  • adaptability
  • analysis
  • communication skills
  • interpretation
  • thinking
  • detail
  • to
  • problem-solving
  • attention
  • critical
  • strategic
Job Description
A Financial Analyst's job description typically centers on assessing financial performance, forecasting future scenarios, and providing strategic insights to support business decisions. While the core duties are consistent across companies, specifics can vary depending on the industry and the analyst's seniority. Key responsibilitiesFinancial analysis and modelingAnalyze financial data: Review and interpret financial statements, budgets, and operational reports to identify trends, variances, and key performance indicators (KPIs).Develop financial models: Build and maintain financial models for forecasting revenue, expenses, and profitability to guide strategic planning.Conduct variance analysis: Compare actual financial performance against forecasts and budgets to analyze deviations and understand root causes. Reporting and presentationsPrepare financial reports: Generate detailed reports, including balance sheets, income statements, and cash flow statements, for management and stakeholders.Create presentations: Present complex financial data and recommendations to executives and stakeholders in an easy-to-understand format. Strategic supportProvide strategic insights: Deliver actionable recommendations to management on how to improve financial performance, reduce costs, and capitalize on opportunities.Support investment decisions: Conduct research and analysis to evaluate potential investment opportunities and assess financial risks.Assist in budgeting: Collaborate with different departments to assist in the budgeting and forecasting processes. If you're interested, Kindly forward your resume to:- worksuccess565@gmail.com  
posted 2 months ago

Senior Accountant

Future Solution Centre
experience13 to 23 Yrs
Salary9 - 20 LPA
location
Hyderabad, Bangalore+8

Bangalore, Noida, Chennai, Gurugram, Kolkata, Nalanda, Pune, Mumbai City, Delhi

skills
  • communication skills
  • reporting
  • analysis
  • budgeting
  • auditing
  • forecasting skills
  • compliance
  • financial
  • internal
  • controls
Job Description
A Senior Accountant manages complex accounting tasks, oversees financial operations, and ensures compliance with financial regulations. In addition to reconciling accounts and preparing financial reports, a Senior Accountant often has leadership responsibilities, including supervising and mentoring junior staff. ResponsibilitiesManage financial processes: Oversee the day-to-day accounting operations, including the general ledger, accounts payable, and accounts receivable.Prepare financial statements: Produce accurate and timely financial reports, including balance sheets, income statements, and cash flow statements, in accordance with GAAP (Generally Accepted Accounting Principles) or IFRS (International Financial Reporting Standards).Conduct financial analysis: Review and analyze financial data, summarizing the company's financial status for senior management. This includes performing variance analysis and identifying trends, opportunities, and risks.Manage audits: Coordinate and assist with internal and external audits by preparing and providing required documentation and schedules.Ensure compliance: Maintain and strengthen internal controls, ensuring all accounting procedures comply with legal and regulatory requirements.Assist with budgeting and forecasting: Play a key role in developing and monitoring organizational budgets and creating financial forecasts.Supervise staff: Train, mentor, and review the work of junior accountants and accounting assistants.Implement process improvements: Identify inefficiencies and recommend modifications to accounting systems and procedures to improve accuracy and productivity. Required qualificationsEducation: A bachelor's degree in Accounting, Finance, or a related field is required. A master's degree in Accounting or Business Administration is often preferred.Experience: Most employers require at least 3 to 5 years of progressive accounting or finance experience.Certifications: Professional certifications such as a Certified Public Accountant (CPA) or Certified Management Accountant (CMA) are highly desirable and may be preferred or required by some companies. If you're interested, Kindly forward your resume to:- rayhenry0101@gmail.com
posted 2 months ago

Senior Accountant

Future Solution Centre
experience13 to 23 Yrs
Salary9 - 20 LPA
location
Hyderabad, Bangalore+8

Bangalore, Chennai, Tirupati, Vijayawada, Kolkata, Anand, Mumbai City, Belgaum, Ahmedabad

skills
  • budgeting
  • financial reporting
  • analysis
  • internal controls
  • communication skills
  • compliance
  • forecasting skills
  • auditing
Job Description
A Senior Accountant manages complex accounting tasks, oversees financial operations, and ensures compliance with financial regulations. In addition to reconciling accounts and preparing financial reports, a Senior Accountant often has leadership responsibilities, including supervising and mentoring junior staff. ResponsibilitiesManage financial processes: Oversee the day-to-day accounting operations, including the general ledger, accounts payable, and accounts receivable.Prepare financial statements: Produce accurate and timely financial reports, including balance sheets, income statements, and cash flow statements, in accordance with GAAP (Generally Accepted Accounting Principles) or IFRS (International Financial Reporting Standards).Conduct financial analysis: Review and analyze financial data, summarizing the company's financial status for senior management. This includes performing variance analysis and identifying trends, opportunities, and risks.Manage audits: Coordinate and assist with internal and external audits by preparing and providing required documentation and schedules.Ensure compliance: Maintain and strengthen internal controls, ensuring all accounting procedures comply with legal and regulatory requirements.Assist with budgeting and forecasting: Play a key role in developing and monitoring organizational budgets and creating financial forecasts.Supervise staff: Train, mentor, and review the work of junior accountants and accounting assistants.Implement process improvements: Identify inefficiencies and recommend modifications to accounting systems and procedures to improve accuracy and productivity. Required qualificationsEducation: A bachelor's degree in Accounting, Finance, or a related field is required. A master's degree in Accounting or Business Administration is often preferred.Experience: Most employers require at least 3 to 5 years of progressive accounting or finance experience.Certifications: Professional certifications such as a Certified Public Accountant (CPA) or Certified Management Accountant (CMA) are highly desirable and may be preferred or required by some companies. If you're interested, Kindly forward your resume to:- rayhenry0101@gmail.com
posted 4 weeks ago

Finance Manager

BHA FOODS PRIVATE LIMITED
experience4 to 9 Yrs
Salary4.5 - 10 LPA
location
Nellore, Hyderabad+8

Hyderabad, Bilaspur, Mohali, Raipur, Kolkata, Chandigarh, Bhillai, Panchkula, Raigarh

skills
  • financial planning
  • equity release
  • holistic financial planning
Job Description
We are looking for a Finance Manager to oversee all financial activities, including budgeting, reporting, forecasting, and compliance. The role involves ensuring the companys financial stability, managing cash flow, and providing accurate financial insights to support management decisions. Key Responsibilities: Prepare and review monthly, quarterly, and annual financial reports. Manage budgeting, forecasting, and cost control processes. Ensure compliance with accounting standards, tax laws, and company policies. Oversee cash flow, banking operations, and fund management. Support audits and ensure timely resolution of findings. Lead and guide the finance and accounting team. Provide financial analysis to support business growth and profitability. Candidate Requirements: Bachelors degree in Finance, Accounting, or Commerce (MBA/CA preferred). 5+ years of finance or accounting experience, including managerial exposure. Strong knowledge of accounting principles, taxation, and financial reporting. Proficiency in MS Excel and ERP software (Tally, SAP, or similar). Excellent analytical, communication, and leadership skills. Key Skills: Financial Management, Budgeting, Forecasting, Reporting, Accounting, Taxation, Compliance, Team Leadership. Employment Type: Full-Time Industry Type: Food Processing Department: Finance & Accounts
posted 1 month ago

Finance Supervisor

SHARMA TRADERS ENTERPRISES
experience4 to 9 Yrs
Salary9 - 12 LPA
location
Hyderabad, Bangalore+8

Bangalore, Chennai, Noida, Kolkata, Gurugram, Pune, Mumbai City, Delhi, Port Blair

skills
  • decision-making
  • pressure
  • analysis
  • adaptability
  • software
  • communication
  • accounting
  • analytical
  • excel
  • time
  • regulations
  • management
  • integrity
  • organization
  • ethics
  • standards
  • attention
  • microsoft
  • problem-solving
  • proficiency
  • financial
  • practices
  • ability
  • interpersonal
  • abilities
  • understanding
  • accuracy
  • under
  • work
  • detail
  • principles
  • of
  • skills
  • in
  • to
  • capabilities
  • knowledge
Job Description
We are seeking a detail-oriented and analytical Finance Officer to join our finance team. As a Finance Officer, you will be responsible for managing financial transactions, preparing financial reports, and ensuring compliance with accounting standards and regulations. The ideal candidate has a strong understanding of financial principles, excellent numerical skills, and the ability to work effectively in a fast-paced environment. Responsibilities:Manage accounts payable and accounts receivable processes, including invoicing, payments, and collections. Prepare and maintain accurate financial records, ledgers, and journals. Assist in the preparation of financial statements, reports, and budgets. Conduct financial analysis and forecasting to support decision-making processes. Ensure compliance with accounting standards, regulations, and internal policies. Assist with internal and external audits, including the preparation of audit schedules and responses to audit inquiries. Monitor cash flow and liquidity, identifying and addressing any discrepancies or issues. Collaborate with other departments to provide financial guidance and support. Stay updated on industry trends, regulations, and best practices in finance and accounting.
posted 3 days ago

Business Finance Manager

SHARMA TRADERS ENTERPRISES
experience20 to >25 Yrs
Salary20 - 30 LPA
WorkContractual
location
Hyderabad, Junagarh+8

Junagarh, Bhubaneswar, Bangalore, Kochi, Chennai, Kolkata, Gurugram, Mumbai City, Coimbatore

skills
  • leadership accountability
  • technical skills
  • interpersonal leadership
  • business savvy
  • property accountability
  • unit movement officer
  • interpersonal communication
  • intrapersonal skills
Job Description
A Business Finance Manager's duties include financial planning, reporting, and analysis to guide strategic decisions, along with overseeing budgets, cash flow, and compliance with financial regulations. Key skills needed are technical proficiencies like financial analysis, budgeting, and forecasting, as well as soft skills such as leadership, communication, strategic thinking, and problem-solving A Business Finance Manager's duties include financial planning, reporting, and analysis to guide strategic decisions, along with overseeing budgets, cash flow, and compliance with financial regulations. Key skills needed are technical proficiencies like financial analysis, budgeting, and forecasting, as well as soft skills such as leadership, communication, strategic thinking, and problem-solving A Business Finance Manager's duties include financial planning, reporting, and analysis to guide strategic decisions, along with overseeing budgets, cash flow, and compliance with financial regulations. Key skills needed are technical proficiencies like financial analysis, budgeting, and forecasting, as well as soft skills such as leadership, communication, strategic thinking, and problem-solving A Business Finance Manager's duties include financial planning, reporting, and analysis to guide strategic decisions, along with overseeing budgets, cash flow, and compliance with financial regulations. Key skills needed are technical proficiencies like financial analysis, budgeting, and forecasting, as well as soft skills such as leadership, communication, strategic thinking, and problem-solving A Business Finance Manager's duties include financial planning, reporting, and analysis to guide strategic decisions, along with overseeing budgets, cash flow, and compliance with financial regulations. Key skills needed are technical proficiencies like financial analysis, budgeting, and forecasting, as well as soft skills such as leadership, communication, strategic thinking, and problem-solving A Business Finance Manager's duties include financial planning, reporting, and analysis to guide strategic decisions, along with overseeing budgets, cash flow, and compliance with financial regulations. Key skills needed are technical proficiencies like financial analysis, budgeting, and forecasting, as well as soft skills such as leadership, communication, strategic thinking, and problem-solving
posted 7 days ago

Account Executive

M/S. B. NANDI
M/S. B. NANDI
experience12 to 22 Yrs
Salary14 - 24 LPA
location
Hyderabad, Bilaspur+9

Bilaspur, Ongole, Changlang, Malaysia, Kaimur, Chandigarh, Barwani, Port Blair, Surendranagar, Guwahati

skills
  • cash flow statements
  • financial planning
  • provide support
  • maintain financial records
  • analyze financial data
  • communicate collaborate
Job Description
As an Accounts Executive, you will be responsible for managing the financial transactions of the company, overseeing accounts payable and receivable, and ensuring accuracy and compliance with financial regulations. You will also assist in financial planning, budgeting, and forecasting activities. Responsibilities Manage and maintain financial records, including accounts payable and receivable, invoices, and bank statements. Prepare and review financial reports, such as balance sheets, income statements, and cash flow statements. Analyze financial data to identify trends, discrepancies, and opportunities for improvement. Assist in financial planning, budgeting, and forecasting activities. Ensure compliance with financial regulations and company policies. Communicate and collaborate with internal and external stakeholders, such as vendors, clients, and auditors. Provide support during audits and financial inspections. Assist in the implementation and improvement of financial systems and processes. Contribute to the development and execution of financial strategies and initiatives.
posted 2 months ago
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Cash Management
  • Banking Operations
  • Excel
  • VLOOKUP
  • Pivot Tables
  • Formulas
  • FX Handling
Job Description
As a Treasury Analyst, you will play a crucial role in managing the cash flow and liquidity of the company. Your responsibilities will include: - Performing daily bank balance reconciliations for multiple accounts. - Assisting in cash projections and forecasting to support liquidity planning. - Supporting daily cash positioning and liquidity management activities. - Coordinating banking documentation for account opening/closure, signatory updates, and portal access. - Assisting in tracking spot trades and hedge settlements. - Working with multiple FX rates for conversions and reporting. - Applying strong Excel skills for reconciliation, reporting, and analysis. To excel in this role, you should meet the following qualifications: - Bachelor's degree in Finance, Accounting, Commerce, or a related field. - 1 to 3 years of relevant experience in Treasury, Banking, or Finance Operations. - Good understanding of cash management, banking operations, and FX handling. - Working knowledge of Excel (VLOOKUP, Pivot Tables, basic formulas). - Strong attention to detail and a proactive approach to problem-solving. - Good communication and coordination skills. Preferred qualifications that would be nice to have include exposure to cash flow hedging or risk management concepts, and experience with banking portals or treasury systems. This position is contractual/temporary with a contract length of 12 months. The work location is in Hyderabad with a hybrid work mode and day shift timings from 2:00 PM to 11:00 PM IST. Please note that Provident Fund is one of the benefits offered for this position.,
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posted 2 months ago

COST ACCOUNTANT

Veljan Hydrair Ltd
experience4 to 8 Yrs
location
Hyderabad, Telangana
skills
  • Cost Accounting
  • Budgeting
  • Forecasting
  • Inventory Valuation
  • Product Costing
  • Variance Analysis
  • Process Improvement
  • Auditing
  • Compliance
  • Analytical Skills
  • Communication Skills
  • Overhead Allocation
  • Technical Accounting Skills
  • Software Proficiency
  • ProblemSolving Skills
  • DetailOriented
  • CrossFunctional Collaboration
Job Description
As a cost accountant for a mid-sized engineering and manufacturing company in Hyderabad, your role involves tracking, analyzing, and optimizing the company's expenses related to production. Your work is crucial in supporting strategic business decisions, including pricing products, managing budgets, and maximizing profitability. Key responsibilities include: - Cost analysis and reporting: Collecting and analyzing cost data related to raw materials, labor, and factory overhead to identify inefficiencies by comparing standard costs to actual production costs. - Budgeting and forecasting: Collaborating with department heads and management to create and monitor operational budgets for future purchases and expense control. - Inventory valuation: Tracking raw materials, work-in-progress (WIP), and finished goods, and accurately valuing inventory using methods like weighted average cost, FIFO, or LIFO. - Product costing: Estimating costs for new products, and analyzing profitability of existing ones at the item-specific level for informed pricing decisions. - Overhead allocation: Accurately allocating indirect costs to individual products using methods like activity-based costing to ensure accurate cost per unit. - Variance analysis: Investigating and reporting on variances between budgeted and actual costs to help management take corrective action. - Process improvement: Recommending changes to processes and policies based on cost data analysis to reduce costs and increase efficiency. - Auditing and compliance: Assisting with internal and external audits to ensure adherence to accounting principles and regulatory standards. Additionally, common challenges in the Indian manufacturing sector include: - Siloed data leading to inconsistencies and errors. - Outdated technology causing inaccuracies and delays. - Inventory management complexity requiring a robust system. - Managing cash flow gaps due to long production cycles and high upfront costs. Essential skills required: - Technical accounting skills: Strong knowledge of cost accounting principles and methodologies. - Software proficiency: Expertise with ERP systems, advanced Excel skills, and data visualization tools. - Analytical and problem-solving skills: Ability to analyze financial data and provide actionable insights. - Communication skills: Excellent written and verbal communication to explain financial information clearly. - Detail-oriented: Meticulous attention to detail for accuracy in financial data. - Cross-functional collaboration: Ability to work effectively with various departments. Qualifications and experience needed: - Educational background: Bachelor's degree in accounting, finance, or related field. Master's degree or MBA can be beneficial. - Professional certification: Certified Management Accountant (CMA) or Certified Public Accountant (CPA) certification is valued. - Relevant experience: At least 3-5 years of cost accounting experience in manufacturing or engineering setting. Salary for mid-level professionals in the mid-sized company ranges from INR 6 to 12 LPA. Benefits include leave encashment and provident fund. This is a full-time, permanent position located in Hyderabad.,
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posted 3 weeks ago

Senior Accounts Officer

Intercity Transport co
experience5 to 9 Yrs
location
Hyderabad, Telangana
skills
  • Financial Reporting
  • Financial Analysis
  • General Accounting
  • Budgeting
  • Forecasting
  • Cost Control
  • Tax Compliance
  • Financial Compliance
  • Process Improvement
  • Team Management
  • Vendor Management
  • Microsoft Office
  • Hindi
  • Telugu
  • Language Skills English
Job Description
Role Overview: You will be the Senior Accountant for the Transportation Company, overseeing and managing the financial activities of the organization. Your responsibilities will include ensuring accurate and timely financial reporting, maintaining financial records, and providing valuable insights to support strategic decision-making. The ideal candidate should have significant experience in accounting and finance, strong analytical skills, and a solid understanding of the transportation industry. Key Responsibilities: - Prepare and review financial statements, including income statements, balance sheets, and cash flow statements, ensuring accuracy and compliance with accounting standards. - Analyze financial data and performance indicators to identify trends, variances, and opportunities for improvement. - Present financial reports to management and stakeholders, providing insights and recommendations. - Ensure timely and accurate recording of financial transactions and reconciliations. - Monitor and maintain fixed asset records and depreciation schedules. - Collaborate with management to develop annual budgets and financial forecasts. - Monitor budget performance, identify deviations, and recommend corrective actions. - Track and analyze transportation-related costs, such as fuel expenses, maintenance costs, and vehicle expenses. - Provide cost reports and analysis to support cost control initiatives and efficiency improvements. - Ensure compliance with tax regulations and oversee the preparation and filing of tax returns. - Work with external tax advisors to address tax-related matters and optimize tax strategies. - Ensure adherence to accounting policies, procedures, and internal controls. - Collaborate with auditors during the annual financial audits. - Evaluate and enhance financial systems, processes, and procedures to increase efficiency and accuracy. - Implement best practices in accounting and finance. - Supervise and support junior accounting staff, providing guidance and training as needed. - Foster a positive and collaborative work environment within the accounting team. Required Qualifications and Skills: - Bachelor's degree in Accounting, Finance, or a related field. A Master's degree or professional certifications (e.g., CPA) is a plus. - Minimum of 5-7 years of progressive experience in accounting, with at least 2 years in a senior accounting role, preferably within the transportation or logistics industry. - Strong knowledge of accounting principles, financial reporting, and analysis. - Proficiency in using accounting software and ERP systems. - Advanced Excel skills for financial modeling and data analysis. - Excellent attention to detail and accuracy in financial records. - Analytical mindset with the ability to interpret and present financial data effectively. - Strong organizational and time management skills to meet deadlines. - Ability to work collaboratively with cross-functional teams. - Knowledge of transportation industry-specific accounting practices and regulations is advantageous. Additional Details: You will have the opportunity to work full-time at the Hyderabad, Telangana office. You must have a minimum of 5 years of experience with Microsoft Office and a total work experience of 5 years. Proficiency in English, Hindi, and Telugu languages is required for this position. The work location will be in person.,
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