export-finance-jobs-in-hyderabad, Hyderabad

1,504 Export Finance Jobs in Hyderabad

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posted 1 week ago
experience5 to 10 Yrs
Salary6 - 12 LPA
location
Hyderabad, Bangalore+7

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

skills
  • rest api
  • java
  • sap
  • sql
Job Description
Job Title: Manager F&A (Costing) Job Code: ITC/M/20251107/20873 Experience Required: 5+ Years Vacancies: 2 Qualification: Bachelors Degree Location: Open to All Cities (PAN India) Department: Enrichment AI Interview Agentic Industry Type: Others Status: Open Positions Available: 1 Posted On: 07-Nov-2025 Salary Range: 6,00,000 12,00,000 LPA Job Description We are seeking a detail-oriented and analytical Manager Finance & Accounts (Costing) to manage costing functions within the organization. The role requires a deep understanding of costing, budgeting, standard costing analysis, and financial reporting. The ideal candidate will possess strong hands-on experience in Excel and working knowledge of SAP for data management and cost tracking. The individual will be responsible for maintaining cost records, analyzing cost variance, optimizing cost structures, and assisting in pricing decisions by providing accurate cost insights. Collaboration with cross-functional teams and the ability to interpret financial patterns are critical for success in this role. Key Responsibilities Manage and monitor costing operations across business units Prepare cost sheets, variance reports, standard costing, and material/labour cost analysis Support annual budgeting, forecasting & cost planning activities Work closely with production, procurement, and finance teams for cost optimization Analyze cost deviations and identify opportunities to improve profitability Maintain cost master data and ensure accuracy in SAP & Excel reports Provide costing insights for pricing decisions and business planning Prepare monthly/quarterly MIS reports and support audits as required Skills & Technical Proficiency Strong knowledge of Costing, Budgeting & Financial Analysis Advanced Excel skills for cost modelling & data interpretation Working knowledge of SAP for costing operations Understanding of Java, SQL & REST APIs (added advantage for automation/reporting) Excellent analytical thinking, problem-solving & documentation skills Why Join Us Opportunity to drive financial decision-making through strong cost insights Exposure to multi-location costing operations & cross-functional collaboration Role with growth potential in financial planning and strategy How to Apply Interested candidates can share their CV mentioning the Job Code ITC/M/20251107/20873 in the subject line.
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posted 1 week ago
experience4 to 6 Yrs
Salary4.5 - 8 LPA
location
Hyderabad
skills
  • accounts payable
  • valuation
  • compliance
  • tds
  • inventory
  • sap
  • fixed assets
  • msme
Job Description
Job ID: ITC/AM-DM-F-A/20251107/13226 Position: Assistant Manager / Deputy Manager Finance & Accounts Experience Required: 46 years Location: Hyderabad Posted On: Nov 7, 2025 Key Responsibilities: Manage end-to-end financial operations of the Seeds business at Mahindra Agri Solution Ltd. Oversee day-to-day accounting, monthly/quarterly/annual closings. Handle plant and inventory operations, including inventory valuation. Ensure compliance with internal controls and statutory audits. Process vendor payments and maintain financial records in SAP. Manage fixed assets accounting. Skills & Tools: SAP Accounts Payable Inventory Valuation Fixed Assets Accounting TDS MSME compliance Educational Qualification: B.Com Industry Experience: Agri-business, especially seeds, preferred Salary Range: 4,50,000 8,00,000 per annum
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posted 2 months ago

Oracle Finance Techno Functional

WINTECH SERVICES INDIA PRIVATE LIMITED
experience7 to 12 Yrs
Salary12 - 24 LPA
WorkContractual
location
Hyderabad
skills
  • techno functional
  • finance
  • ar
  • oracle
Job Description
SKILLS/QUALIFICATIONS (include Education, Skills & Experience): Bachelors / masters degree in engineering / information technology/ computer applications A proven techno-functional professional, with at least one full lifecycle Oracle E-Business Suite R12 implementation/ support. 8-12 years of experience in Oracle application in various financial modules like General Ledger, Fixed Assets, Accounts Receivable, Accounts Payable. Knowledge on Financial domain & should be exposed to period close activities and reconciliation techniques. Basic understanding of relevant financial statement, Account / Accrual / Trial Balance Reconciliation and Revenue ManagementShould have strong knowledge on Technical and Functional aspects. Preferably techno-functional candidates with 70% technical and 30% functionalExposure to development knowledge & experience in one or more RICEW components (forms, reports, interfaces, conversions, enhancements and workflows) is a must Able to interact with business users with clear written and verbal communication as well as writing requirements and test plan documents. Strong Hands-on technical experience on PL-SQL, XML Publisher, Query Tunning is must. Experience of data conversions from legacy sources, Integrations with third party applications will be an added advantage. Ability to support activities like Financial Month end closing, financial audit requests, Lockbox functionality, Bank Payment integration etc. Candidate with great enthusiasm to explore and learn on the job is an ideal fit for this position. Strong interpersonal, teaming, and problem-solving skills. Experience of working in a team environment and should also be able to work as an individual contributor.
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posted 2 months ago
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Financial Reporting
  • MIS Reporting
  • Bank Reconciliation
  • Oracle
  • Tally
  • Power BI
  • Analytical skills
  • Monthend Close processes
  • GST Compliance
  • TDS Compliance
  • Advanced MS Excel
  • ERP systems SAP
Job Description
As the F&A Team Manager, your role will involve leading the full-cycle accounting operations. This includes maintaining the general ledger, conducting month-end close activities, processing journal entries, and reconciliations to ensure accurate financials and timely reporting. You will be responsible for preparing and delivering regular MIS and management reports, such as monthly P&L statements, balance sheets, cash-flow forecasts, variance analysis, and KPI dashboards for senior stakeholders. Additionally, you will oversee statutory compliance tasks related to GST, TDS, and other tax filings, while also coordinating with external auditors and supporting audit processes. Operating and optimizing ERP bookkeeping systems (SAP/Oracle/Tally) will be part of your responsibilities, including maintaining the chart of accounts, implementing controls, and streamlining transaction flows. Furthermore, you will drive automation and data-driven reporting by building Excel models, macros, and Power BI dashboards to enhance decision-making processes. Your responsibilities as an Assistant Manager or Executive in the F&A team will be aligned with the aforementioned tasks, ensuring smooth financial operations and reporting within the organization. For the Finance MIS Expert role, your duties will include preparing analytical reports, dashboards, and presentations on key financial data points such as Sales, Margins, Expenses, and Working Capital. You will also be involved in financial budgeting tasks and future projections. Qualifications Required: - Semi-Qualified CA or CMA with a minimum of 2+ years of experience - Proficiency in Advanced Excel and analytical skillset for report preparation - Experience in Financial Reporting and MIS Reporting for mid-to-large organizations - Knowledge of GST Compliance, TDS Compliance, and IND AS standards - Hands-on experience with ERP systems (SAP, Oracle, Tally) and data visualization tools like Power BI The company is a top retail healthcare chain in Asia, offering the best industry salaries and a collaborative, delivery-focused culture that emphasizes upskilling and measurable performance outcomes. This position provides an on-site role with clear visibility to senior leadership, offering a fast track for career growth into senior finance roles. Additionally, you will have the opportunity to lead process automation initiatives and shape finance systems (ERP & BI) across the business.,
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posted 5 days ago

Director, Enterprise Finance Architecture

LSEG (London Stock Exchange Group)
experience10 to 14 Yrs
location
Hyderabad, Telangana
skills
  • Business Strategy
  • Oracle Exadata
  • Data Integration
  • Enterprise Architecture
  • Data Management
  • Vendor Management
  • Product Engineering
  • DevOps
  • Change Management
  • Data Quality
  • Innovation
  • Enterprise Architect
  • Finance Systems
  • Tech Strategy
  • Architecture Guidance
  • Data Modernization
  • AIML
  • GenAI Solutions
  • Migration Strategy
  • Infrastructure Standards
  • DataDriven Decision Making
  • Agile Delivery Methodology
  • CICD
  • Scaled Agile Function
  • Financial Markets Infrastructure
  • Data Provider
Job Description
As an Enterprise Architect at LSEG, you will play a crucial role in the Finance Engineering department's transformation journey. Your responsibilities will include creating strategies, roadmaps, and business cases for Finance Systems, aligning tech strategy with business strategy, providing architectural guidance to large programs, and ensuring the integrity of Finance platforms within Corporate Engineering. Key Responsibilities: - Provide strategic guidance and direction for Finance Engineering platforms and systems - Enhance Finance ecosystems with AI-driven solutions - Design data modernization strategies and architecture solutions - Define migration/modernization strategies for transitioning databases to OCI - Set architecture strategies for scale, reliability, and high performance - Streamline data management across Finance systems - Enable data-driven decision-making organization-wide - Manage relationships with Finance leadership and vendors - Facilitate adoption of Product-led and agile delivery methodology - Provide leadership, mentorship, and development to drive high performance - Demonstrate and promote adoption of emerging technology and automation Key Experience: - Experience with Oracle Fusion APIs, Web Services, and middleware solutions - Strong understanding of multi-cloud environments, proficiency in OCI DI, Data flow, ODI, OML, Apex desired - Data savvy with knowledge of technology architecture, integration, network & security practices - Experience with Oracle Cloud infrastructure, including OCI Storage and Network - Implementation experience of AI tools and technologies - Familiarity with modern engineering practices, agile practices, and deployment pipelines - Experience in handling products on different solution models - Knowledge of data quality and lineage - Experience in building and leading a scaled agile function Join LSEG, a global financial markets infrastructure and data provider, and be part of a team that values innovation, quality, and continuous improvement. Explore your career growth opportunities and contribute to driving financial stability and empowering economies while being part of a diverse and inclusive workforce. Please note that the above job description is subject to change as per the requirements of the company.,
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posted 4 days ago
experience0 to 3 Yrs
location
Hyderabad, Telangana
skills
  • Proficiency in Microsoft Suite
  • Team player
  • Multitasking
  • Selfmotivated
  • Fastpaced environment
  • Willingness to learn
Job Description
As a Finance Assistant, your role involves the day-to-day management of finance activities. This includes reviewing expenses/billings, transaction flows, and account reconciliation to ledger. Additionally, you will support the Finance Manager/Controller with the monthly forecast and book closure process. Recording all transactions in the company's accounting software and coordinating with bankers for all banking transactions are also part of your responsibilities. Key Responsibilities: - Manage finance activities such as reviewing expenses, transaction flows, and account reconciliation - Support the Finance Manager/Controller with monthly forecast and book closure - Record all transactions in the company's accounting software - Coordinate with bankers for all banking transactions Qualification Required: - Bcom/Mcom/MBA-Finance Key Skills: - Proficiency in Microsoft Suite (Outlook, Excel, PowerPoint, Word, etc.) - Good team player with the ability to multitask and work under pressure - Self-motivated and able to work in a fast-paced environment - Willingness to expand skillset and take on new opportunities Please apply only if you have a Bcom/Mcom/MBA-Finance qualification. This is a full-time position located in Hyderabad, Telangana, and requires in-person work.,
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posted 2 days ago

Management Trainee Finance

Veljan Hydrair Ltd
experience0 to 4 Yrs
location
Hyderabad, Telangana
skills
  • Financial Operations
  • MIS Reports
  • Financial Modeling
  • Variance Reports
  • Cost Control
  • Working Capital Management
  • Financial Planning
  • Documentation
  • MS Excel
  • PowerPoint
  • SAP
  • Tally
  • Tableau
  • Accounting Standards
  • Financial Statements Analysis
  • Internal Audits
  • Compliance Activities
  • CAPEX Analysis
  • Financial Regulations
  • Audit Procedures
Job Description
As a Management Trainee in the Finance department, you will be responsible for supporting financial operations, preparing MIS reports, and contributing to strategic decision-making. Your key responsibilities will include: - Prepare and present MIS reports to senior leadership for financial performance tracking and strategic planning - Assist in budgeting, forecasting, and financial modeling - Analyze financial statements and prepare variance reports - Support internal audits, cost control initiatives, and compliance activities - Collaborate with cross-functional teams on CAPEX analysis, working capital management, and financial planning - Maintain documentation for financial transactions and ensure adherence to internal controls To qualify for this role, you should have: - MBA in Finance from a recognized institution - Strong analytical and problem-solving skills - Proficiency in MS Excel, PowerPoint, and financial tools (e.g., SAP, Tally, Tableau) - Knowledge of accounting standards, financial regulations, and audit procedures - Internship or project experience in finance preferred The company is looking for individuals with key competencies such as financial acumen, accuracy, time management, professional communication, and team collaboration. This is a full-time position suitable for freshers, and the work location is on-site in Patancheru, Hyderabad.,
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posted 2 days ago

Finance Associate

Startoon Labs
experience0 to 3 Yrs
location
Hyderabad, Telangana
skills
  • Analytical
  • Problem solving
  • Communication
  • interpersonal skills
  • Quantitative
  • qualitative risk analysis skills
Job Description
As a Finance Executive at this company based in Hyderabad, India, your role involves reporting directly to the Management team. Your key responsibilities will include: - Maintaining all the compliance records of the Company in a timely manner for due-diligence. - Overseeing corporate financing activities including statutory and legal activities. - Handling banking related activities. - Managing Quotations, Invoices, Bills of all the vendors from Agreement/PO etc., and ensuring timely and accurate booking of all the Vendors Bills/Invoices. - Taking care of bookkeeping and statutory activities of the Company. - Ensuring the timely preparation of MIS Reports and presenting them to the management. - Strategizing quarterly activities of the Company. Qualifications: - Candidates with Engineering and Masters in Finance will be preferable. - Strong knowledge of Statutory Compliance, Legal, and Accounting activities. - Experience in handling company audits and due diligence is a plus. - Freshers with Internship experience in the same domain are required. In addition to the above responsibilities, the ideal candidate for this position should possess the following skills: - Communication and interpersonal skills. - Analytical skills. - Problem-solving skills. Good to have skills: - Quantitative and qualitative risk analysis skills. This job offers an opportunity to work in a dynamic environment and contribute to the financial well-being of the company.,
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posted 1 day ago

Finance

Othain Group Inc.
experience0 to 4 Yrs
location
Hyderabad, Telangana
skills
  • Finance
  • Accounting
  • Excel
  • Communication Skills
Job Description
Role Overview: You will be joining Othain Group, a global IT and BP Solutions and Services Company with a primary focus on the business process and technology management space. Our company offers a wide range of industry-specific services, leveraging deep process knowledge, targeted IT capabilities, advanced analytics, and practical reengineering to deliver comprehensive solutions to our clients. At Othain Group, we are committed to providing exceptional customer care and tailored solutions to our customers and clients. We view every interaction with a customer as an opportunity to strengthen relationships and add value to their experience. This position is based in Hyderabad and requires you to work from the office. The working hours are from 5.30 PM to 2.30 AM IST. Key Responsibilities: - Provide exceptional customer care and tailored solutions to clients - Strengthen relationships with customers through every interaction - Leverage deep process knowledge and targeted IT capabilities to deliver comprehensive solutions - Engage effectively with stakeholders using excellent communication skills - Work from the office in Hyderabad during the specified working hours Qualifications Required: - Graduation or Postgraduation in Finance - Solid foundation in accounting - Proficiency in Excel - Excellent communication skills,
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posted 6 days ago
experience0 to 4 Yrs
location
Hyderabad, Telangana
skills
  • Fund Accounting
  • NAV calculation
  • Collateral management
  • Securities lending
  • Trade processing
  • Asset servicing
  • Trade support
  • Investor allocations
  • Processing investor capital transactions
  • Managing investor commitments
  • Allocating PL
  • Reconciling NAV components
  • Treasury Analyst
  • Margin calls
  • Treasury reference data management
  • Marginrelated movements
  • Collateral interest reconciliation
  • Middle Office professional
  • Corporate action management
  • Manual trade booking
  • Reference data maintenance
  • Exception resolution
Job Description
As a Fund Accountant, your role will involve performing various fund accounting tasks such as NAV calculation, fund and investor allocations, processing investor capital transactions, tracking investor commitments, allocating P&L at an investor account level, and reconciling investor-level NAV components with the fund administrator. Key Responsibilities: - Perform NAV calculation - Allocate funds and investors - Process investor capital transactions - Track and manage investor commitments - Allocate P&L across fund structures at an investor account level - Reconcile investor-level NAV components with the fund administrator As a Treasury Analyst, you will be responsible for managing collateral, handling margin calls, resolving disputes, and overseeing treasury reference data management. Additionally, you will manage margin-related movements, securities lending, and collateral interest reconciliation. Key Responsibilities: - Manage collateral - Handle margin calls - Resolve disputes - Oversee treasury reference data management - Manage margin-related movements - Reconcile collateral interest As a Middle Office professional, your role will involve supporting trade processing, asset servicing, and corporate action management across various asset classes. You should have a strong understanding of trade support, manual trade booking, reference data maintenance, and exception resolution. Key Responsibilities: - Support trade processing - Assist in asset servicing - Manage corporate action management - Understand trade support - Perform manual trade booking - Maintain reference data - Resolve exceptions Qualifications Required: - PG: MBA/PGDM in Finance, Operations - Flexibility to work in EMEA shift - Good knowledge in Capital Market If you are interested in the above roles, you are invited to walk-in for an interview with your updated CV at: Lemon Tree Hotel, Gachibowli, Hyderabad Survey No 115/1, Financial District, Nanakramguda, Gachibowli, Serilingampalle (M), Hyderabad, Telangana 500032 Date: 29th November Time: 9.00 AM - 12.00 PM Contact HR - Arun Kumar Uddi & Abhishek Futane,
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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 1 week ago

Accounts And Finance Manager

HR JOBS CONSULTANCY
experience15 to 20 Yrs
Salary12 - 24 LPA
location
Hyderabad, Bhubaneswar+5

Bhubaneswar, Gwalior, Chennai, Indore, Lucknow, Delhi

skills
  • taxation
  • accounts finalisation
  • balance
  • accounts payable
  • accounts receivable
  • finance accounts
Job Description
Accounts & Finance Manager Roles and Responsibilities: 1. Financial Management: - Oversee the preparation and management of financial statements, ensuring compliance with accounting standards and regulations. - Manage budgeting processes and conduct variance analysis to control financial performance. - Ensure accurate and timely financial reporting to senior management and stakeholders. 2. Accounts Payable and Receivable: - Supervise the accounts payable and receivable teams to ensure efficient processing of invoices and collections. - Monitor cash flow and work closely with the finance team to optimize working capital. 3. Audit and Compliance: - Coordinate internal and external audits, ensuring all financial records are accurate and compliant with legal and regulatory standards. - Implement and maintain internal controls to safeguard company assets and mitigate risks. 4. Tax Compliance: - Ensure timely preparation and submission of all tax returns and compliance with relevant tax regulations. - Keep abreast of changes in tax legislation and assess their impact on the company. 5. Financial Analysis and Reporting: - Conduct financial analysis, providing insights and recommendations to support strategic decision-making. - Prepare reports for management that highlight financial performance trends and potential areas for improvement. 6. Team Leadership and Development: - Lead, mentor, and develop the accounts team, fostering a collaborative and high-performance culture. - Conduct performance evaluations and provide constructive feedback to team members. 7. Stakeholder Collaboration: - Liaise with various departments (such as sales, procurement, and operations) to provide financial insights and support business objectives. - Engage with external partners, including auditors, suppliers, and banks, to ensure smooth financial operations. 8. Policy Development: - Develop, implement, and maintain accounting policies and procedures to enhance operational efficiency. - Ensure adherence to company policies and ethical standards within the finance team. 9. Technology Utilization: - Leverage accounting software and technology to streamline processes and improve reporting capabilities. - Stay updated on financial technology advancements that can enhance departmental efficiency. Years Of Experience: 15 to 20 Years Mandatory Skills: Payroll, End to End Accounting, Monthly Closing, TDS/TCS compliance, Finance And Accounts Interested can send their updated resume to hrjobsconsultancy2020 at gmail dot com WhatsApp 8.7.0.0.3.1.1.6.1.8
posted 7 days ago

Finance Director

TERCELHERBS PRIVATE LIMITED
TERCELHERBS PRIVATE LIMITED
experience15 to >25 Yrs
Salary14 - 26 LPA
location
Hyderabad, Bangalore+7

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

skills
  • accounting software
  • analytical skills
  • management skills
  • communication skills
Job Description
 We are seeking an experienced and analytical finance director with strong numerical skills to drive our organization's financial operations and improve financial performance. Duties for the finance director will include supervising accounting staff, overseeing internal controls, setting financial targets, implementing fund-raising strategies, engaging with investors, developing a financial strategy, conducting feasibility studies, monitoring expenditure, overseeing annual insurance, monitoring cash flow, evaluating investments, and managing tax compliance. Your skills in sound financial planning coupled with your ability to direct financial assets will assist our organization in implementing effective financial strategies, managing debt, improving revenue, maintaining a healthy financial position, and enhancing investor confidence. The ideal candidate should possess strong analytical skills, good strategic thinking, excellent communication skills, exceptional numerical proficiency, and strong leadership skills. The noteworthy finance director should harmonize financial operations, develop effective financial strategies, guide efforts towards financial stability, monitor all financial activities, promote revenue growth, ensure compliance with accounting regulations, and maintain good relationships with investors. Finance Director Responsibilities:Directing financial planning and strategy.Analyzing and reporting on financial performance.Overseeing audit and tax functions.Developing and implementing accounting policies.Preparing forecasts and comprehensive budgets.Training accounting staff.Reviewing departmental budgets.Assessing, managing, and minimizing risk.Analyzing complex financial data.Managing internal controls.
posted 4 weeks ago

Finance Manager

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

Bilaspur, Mohali, Nellore, 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 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 5 days ago
experience8 to 12 Yrs
location
Hyderabad, Telangana
skills
  • Finance
  • Team Leadership
  • Project Management
  • Stakeholder Management
  • Oracle Fusion Functional Consultant
  • Oracle Fusion modules
Job Description
You are applying for the position of Lead Oracle Fusion Finance Functional Consultant at Opkey, a fast-growing VC-backed continuous end-to-end test automation software company disrupting the space of ERP transformation testing with an AI-powered No Code Testing platform for Enterprise business applications. As a Lead Oracle Fusion Finance Functional Consultant, your role will involve providing expert functional support for Oracle Fusion applications, specifically in Finance, and leading a team of 12 junior consultants. Your responsibilities will include functional support and solutioning, team leadership and management, implementation and upgrade support, as well as client and stakeholder engagement. Key Responsibilities: - Provide expert guidance on Oracle Fusion modules (Finance) and analyze business requirements to recommend best practices. - Lead, mentor, and manage a team of 12 junior consultants, assign tasks, monitor performance, and provide technical and functional guidance. Conduct regular training sessions to enhance the team's capabilities. Act as the primary point of escalation for complex issues within the team. - Lead end-to-end Oracle Fusion test automation implementation and enhancement projects, work closely with stakeholders to define project scope, timelines, and deliverables, and support quarterly Oracle updates and patch testing. - Collaborate with business users, IT teams, and senior leadership to understand and align system functionalities with business goals. Communicate effectively to ensure alignment on project progress, risks, and mitigation strategies. Qualifications Required: - 8+ years of experience as an Oracle Fusion Functional Consultant with strong expertise in at least one or more Oracle Fusion modules, especially Finance. - Proven experience in leading and mentoring a team of junior consultants, hands-on experience in configurations, setups, and business process mapping. - Strong understanding of Oracle Cloud architecture, security, and integrations, ability to troubleshoot and resolve functional issues effectively. - Strong project management skills with experience handling multiple implementations, excellent communication and stakeholder management skills. - Experience with Oracle Quarterly Patches, Testing, and UAT cycles is a plus. Oracle Fusion certifications are preferred. Opkey is trusted by 250+ enterprise customers, including GAP, Pfizer, and KPMG, and is headquartered in Dublin, California, with additional offices in Pittsburgh, NYC, and India (Noida & Bangalore). With the test automation market expected to reach $50 billion by 2026, this is an exciting opportunity to be part of a dynamic and innovative company in the ERP transformation testing space.,
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posted 2 weeks ago

Finance Manager

Recruise India Consulting Pvt Ltd
experience8 to 12 Yrs
location
Hyderabad, All India
skills
  • Statutory Audit
  • Tax Audit
  • Compliance
  • Internal Controls
  • SOX Compliance
  • Transfer Pricing
  • Cost Optimization
  • Operational Efficiency
  • Finance Transformation
  • Financial Modelling
  • Key Metrics
  • Business Case Development
  • Scenario Planning
  • Investment Decisions
  • Indian Accounting Standards
  • Financial Systems
  • SAP
  • Oracle
  • Tally
  • ERP
  • Financial Close Processes
  • Margin Improvement
  • Financial Dashboards
  • Tax Laws
  • Compliance Environment
  • Global Accounting Standards
  • Multinational Finance Operations
  • Global Capability Centers GCCs
  • NetSuite
Job Description
As the India Controllership Lead, you will be responsible for managing India's financial close processes, statutory and tax audit processes, ensuring compliance with local GAAP (Ind AS) and group accounting standards (IFRS/US GAAP), and overseeing the preparation and filing of financial statements and regulatory documents. Additionally, you will manage internal controls, monitor intercompany transactions, and ensure adherence to global policies. Your responsibilities will also include participating in strategic finance initiatives by providing insights into cost optimization, margin improvement, and operational efficiency. You will collaborate with global teams on cross-border transactions, financial modeling, and finance transformation projects. Moreover, you will develop financial dashboards, provide financial guidance for business case development, and present key metrics to both India and global leadership. Qualifications and Experience: - Chartered Accountant (CA) or CPA. - 8-12 years (Post Qualification) of progressive experience in controllership, finance consulting, or Big 4 advisory roles. - Strong experience with Indian and global accounting standards, tax laws, and compliance environment. - Exposure to multinational finance operations and working with global capability centers (GCCs) or consulting environments. - Hands-on experience with financial systems such as SAP, Oracle, NetSuite, Tally, or similar ERPs. Key Competencies: - Strong knowledge of Indian and international accounting/tax regulations. - Financial acumen and strategic thinking. - Ability to influence and partner with cross-functional and global teams. - Strong project management and consulting skills. - Excellent stakeholder management and communication abilities. - High attention to detail and governance mindset. As the India Controllership Lead, you will be responsible for managing India's financial close processes, statutory and tax audit processes, ensuring compliance with local GAAP (Ind AS) and group accounting standards (IFRS/US GAAP), and overseeing the preparation and filing of financial statements and regulatory documents. Additionally, you will manage internal controls, monitor intercompany transactions, and ensure adherence to global policies. Your responsibilities will also include participating in strategic finance initiatives by providing insights into cost optimization, margin improvement, and operational efficiency. You will collaborate with global teams on cross-border transactions, financial modeling, and finance transformation projects. Moreover, you will develop financial dashboards, provide financial guidance for business case development, and present key metrics to both India and global leadership. Qualifications and Experience: - Chartered Accountant (CA) or CPA. - 8-12 years (Post Qualification) of progressive experience in controllership, finance consulting, or Big 4 advisory roles. - Strong experience with Indian and global accounting standards, tax laws, and compliance environment. - Exposure to multinational finance operations and working with global capability centers (GCCs) or consulting environments. - Hands-on experience with financial systems such as SAP, Oracle, NetSuite, Tally, or similar ERPs. Key Competencies: - Strong knowledge of Indian and international accounting/tax regulations. - Financial acumen and strategic thinking. - Ability to influence and partner with cross-functional and global teams. - Strong project management and consulting skills. - Excellent stakeholder management and communication abilities. - High attention to detail and governance mindset.
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posted 1 week ago

Retail Finance Manager

Automotive Manufacturers Private Limited
experience15 to 20 Yrs
location
Hyderabad, Telangana
skills
  • Financial Planning
  • Banking Relationships
  • Working Capital Management
  • Balance Sheet Analysis
  • Compliance
  • Financial Documentation
  • Stakeholder Management
  • Relationship Building
  • Inventory Control
  • Financial Reporting
  • Strategic Planning
  • Communication Skills
  • Analytical Skills
  • Negotiation Skills
  • People Management
  • Inventory Funding
  • Supply Chain Finance
  • Stock Audits
  • Leadership Experience
  • Multilocation Operations Management
Job Description
As the Head of Wholesale Inventory Funding & Working Capital Finance, you will play a crucial role in building and maintaining strong banking relationships, overseeing financial planning, and leading a high-performance team. Your responsibilities will include: - Building and strengthening relationships with Banks, NBFCs, and other financiers to arrange inventory funding, working capital limits, and term loans. - Coordinating with OEMs and automobile brands for procurement-related finance arrangements. - Managing routine and special stock audits for all financiers and maintaining accurate reports for compliance. - Overseeing the preparation, vetting, and execution of legal agreements with financiers. - Driving cross-functional coordination to ensure seamless finance availability and utilization. Qualifications and Experience: - CA or MBA (Finance) preferred. - 15+ years of experience in Banking, Finance, or Automobile sectors. - Proven experience in balance sheet analysis, inventory management, stock audits, and financial documentation. - Strong financial analytical skills, negotiation capabilities, and stakeholder management. Desired Skills: - Excellent relationship-building skills with banks, NBFCs, OEMs, and internal stakeholders. - Strong knowledge of stock audit processes, inventory control mechanisms, and financial reporting standards. - Ability to plan strategically for financial limit requirements. - Experience in managing high-value inventory across multi-location operations. Personal Attributes: - High integrity and strong professional ethics. - Strong leadership and people management skills. - Results-driven with a proactive and solution-oriented approach. - High attention to detail, accuracy, and process compliance. In this leadership role, you will be instrumental in ensuring operational liquidity, compliance, and financial discipline nationwide, enabling efficient inventory procurement, working capital utilization, and sustainable business growth in the dynamic automotive distribution sector.,
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posted 5 days ago
experience4 to 8 Yrs
location
Hyderabad, Telangana
skills
  • REPORTING
  • BUSINESS INTELLIGENCE TOOL
  • FINANCE ANALYST
Job Description
Finance Analyst FP&A (CA Qualified) role in Chennai requires a minimum of 4+ years of post-qualification experience in Financial Planning and Analysis and Reporting. Your role will involve analyzing current and past trends in key performance indicators such as revenue, cost of sales, expenses, and capital expenditures with the highest standards of accuracy and precision. You will be responsible for monitoring performance indicators, overseeing the development of Budgeting, Financial Forecasting, Operating Plan, and modeling tools, as well as conducting ad-hoc reporting and analysis. Key Responsibilities: - Analyzing trends in key performance indicators - Monitoring performance indicators and analyzing variances - Developing Budgeting, Financial Forecasting, Operating Plan, and Modeling tools - Conducting Ad-Hoc Reporting and Analysis - Preparing Quarterly and Monthly Financial reports - Implementing Business Intelligence Tool and Dashboard reports - Evaluating processes to drive efficiencies and understand ROI - Developing financial models to support strategic initiatives - Providing accurate and timely financial recommendations to management - Supporting Senior Management Team and Department heads with in-depth analysis Qualifications Required: - CA Qualified - Good understanding of SAP S4 HANA and Anaplan (will be a plus) Additional Company Information: No additional information provided in the job description. Key Skills Required: - Business Intelligence Tool - Finance Analyst - Reporting Industry Type: ITES/BPO/KPO Employment Type: Full Time, Permanent Job Code: GO/JC/1736/2025 Recruiter Name: Marilakshmi S,
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posted 2 days ago
experience10 to 14 Yrs
location
Hyderabad, Telangana
skills
  • Financial Planning
  • Statutory Compliance
  • Financial Forecasting
  • Financial Analysis
  • Valuations
  • Investor Presentations
  • Accounting
  • Budgeting
  • Compliance
  • Treasury Management
  • Internal Controls
  • Automation
  • MIS Reporting
  • Cash Flow Forecasting
  • Profitability Analysis
  • Pricing Strategy
  • Financial Modelling
  • Due Diligence
  • Investor Reporting
  • Operational Finance
  • Private Equity Fundraising
  • Financial Strategies
  • Financial Models
  • KPIs
  • CostBenefit Analysis
  • Financial Feasibility Studies
  • Risk Assessments
  • ERP Systems
Job Description
As a Vice President (Finance & Accounts) at our manufacturing and trading company in Hyderabad, you will play a crucial role in leading the financial operations and strategic financial planning. Your responsibilities will include: - **Strategic Financial Leadership** - Developing and implementing financial strategies aligned with the company's growth and profitability objectives. - Collaborating with the Managing Director and executive leadership team on long-term strategic planning. - Providing data-driven insights and strategic recommendations based on financial forecasts and industry trends. - **Private Equity & Fundraising** - Leading the end-to-end process of raising capital through private equity, debt, or hybrid instruments. - Identifying, engaging, and negotiating with private equity firms, venture capitalists, banks, and financial institutions. - Structuring investment proposals, conducting valuations, and managing investor due diligence. - Developing and delivering compelling investor presentations and financial models. - **Financial Operations & Controls** - Overseeing all core financial functions, including accounting, budgeting, reporting, compliance, and treasury. - Ensuring timely finalization of books of accounts and coordinating with auditors for statutory filings. - Implementing robust internal controls and automation for improved accuracy and efficiency. - Preparing MIS reports, financial dashboards, and cash flow forecasts for senior management. - **Business Performance Monitoring** - Designing and implementing KPIs and dashboards for monitoring key financial and operational performance indicators. - Conducting cost-benefit and profitability analysis across product lines and departments. - Leading pricing strategy formulation, cost control initiatives, and margin improvement programs. - Supporting investment decisions and business expansion through financial feasibility studies and risk assessments. **Qualifications & Experience:** - Chartered Accountant (CA) or CMA. - Minimum 10 years of progressive financial leadership experience, preferably in manufacturing/trading sectors. - Proven track record in raising capital through private equity or institutional investors. - Strong command of financial modeling, valuation, due diligence, and investor reporting. - Hands-on experience with ERP systems. - Willingness to work 6 days a week. If you are a visionary leader with extensive experience in financial planning, operational finance, and private equity fundraising, we invite you to join our team and drive sustainable growth through sound fiscal management and capital acquisition.,
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