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832 Financial Reporting Jobs in Ghaziabad

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posted 2 months ago

Financial Analyst

GALLAGHER AND MOHAN PRIVATE LIMITED
GALLAGHER AND MOHAN PRIVATE LIMITED
experience1 to 6 Yrs
Salary5 - 12 LPA
WorkRemote
location
Delhi
skills
  • valuation
  • dcf
  • advanced excel
Job Description
 Hiring: Financial Analyst (DCF Modeling Expert) What we are and what we do:-  Gallagher & Mohan is a distinguished firm dedicated to providing unparalleled financial analysis, marketing expertise, and accounting support within the dynamic realm of real estate. We cater to a diverse clientele comprising private equity investors, developers, fund managers, and brokers, among others. Renowned for our commitment to excellence, effective communication, and unwavering work ethic, we seamlessly integrate into our clients' operations to deliver exceptional value. Our portfolio encompasses a spectrum of transactions, spanning from multifamily apartment complexes to office towers in the United States and Europe, with transactional values ranging from $10 million USD to upwards of $200 million USD.   Financial Analyst (DCF Modeling Expert)  Role Overview: As a Financial Analyst at Gallagher & Mohan, your primary focus will be on leveraging Discounted Cash Flow (DCF) modeling to deliver sophisticated financial analysis and insights. You will be responsible for creating and managing complex financial models, optimizing asset valuations, and providing actionable recommendations based on detailed DCF analyses.  Roles & Responsibilities: Argus Enterprise Mastery: Utilize Argus Enterprise extensively to develop, maintain, and enhance comprehensive financial models for real estate assets. Ensure accuracy and efficiency in cash-flow projections and asset valuations. DCF Modeling: Construct and refine Discounted Cash Flow (DCF) models to evaluate investment opportunities, asset performance, and future cash flows. Provide in-depth analysis and interpretation of model outputs. Model Optimization: Optimize and update Argus models to reflect changing market conditions, investment strategies, and financial structures. Ensure models are aligned with current financial practices and industry standards. Market Analysis: Conduct detailed market research and analysis to support Argus , Multi family assets and DCF modeling, including assessing property comparables and evaluating market trends. Reporting & Insights: Prepare and present detailed financial reports and insights based on Argus and DCF analyses. Communicate findings and strategic recommendations to senior management and clients. Collaboration: Work closely with internal teams during acquisitions, dispositions, and development projects, providing specialized Argus and DCF analysis to support strategic decision-making. Performance Evaluation: Assess and report on the performance of investments using key performance indicators (KPIs) such as IRR and Cash-on-Cash returns, integrating these metrics into Argus and DCF models.  What We Are Looking For: Requirements Skills, Knowledge, and Abilities: Educational Background: Bachelors degree in Real Estate, Business, Economics, Finance, or a related field. Argus Expertise: Extensive experience with Argus Enterprise software, including developing and managing detailed financial models for real estate assets. DCF Proficiency: Strong proficiency in Discounted Cash Flow (DCF) modeling, with the ability to create and analyze complex financial models and scenarios. Experience: 1-4 years of experience in financial modeling with a focus on Argus and DCF methodologies and Multi family assets . Background in equity research, investment banking, or real estate finance is advantageous. Analytical Skills: Exceptional analytical and problem-solving skills, with a focus on deriving actionable insights from Argus and DCF analyses. Communication: Strong written and verbal communication skills, with the ability to present complex financial concepts and findings effectively to diverse stakeholders. Organization: Excellent organizational skills, with the ability to manage multiple tasks and priorities in a fast-paced environment. Team Collaboration: Proven ability to work effectively with cross-functional teams and contribute to a collaborative team environment.  Desired Qualifications: Software Proficiency: Advanced skills in Microsoft Office Suite, especially Excel, for financial modeling and analysis. Advanced Degree: Masters degree in finance, Business, Real Estate, or Economics is preferred. Certifications: Candidates who have completed or are working towards CFA, CA, or FRM certifications will be considered favorably. Additional Software Knowledge: Familiarity with other real estate software/programs, such as Yardi Voyager and Google Earth, will be a plus.  Job Details:    Title: Financial Analyst  Department: Financial Analysis  Employment Type: Full-Time, Permanent  Location: Remote (New Delhi)  Shift Timings: EST/PST (US Time Zone)   Join Gallagher & Mohan to apply your expertise in DCF modeling, driving impactful financial analysis and strategic decision-making in our dynamic real estate investment environment.    
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posted 1 week ago

Financial Analyst

HORIBA PVT ENTERPRISES
experience4 to 9 Yrs
Salary7 - 16 LPA
location
Delhi, Noida+17

Noida, Bangladesh, Zimbabwe, Hailakandi, Vietnam, Uganda, Bangalore, Chennai, Hyderabad, Lebanon, Kolkata, Gurugram, Pune, Zambia, Mumbai City, Libya, Ghana, Kenya

skills
  • communication
  • financial reporting
  • forecasting
  • research
  • data
  • accounting
  • modeling
  • planning
  • analysis
  • budget
  • management
  • software
  • financial
  • proficiency
  • knowledge
Job Description
 We are looking for a Financial Analyst to provide accurate and data based information on companys profitability, solvency, stability and liquidity. You will research and analyze financial information to help company make well informed decisions, write reports and monitor financial movements.Responsibilities    Consolidate and analyze financial data (budgets, income statement forecasts etc) taking into account companys goals and financial standing    Provide creative alternatives and recommendations to reduce costs and improve financial performance    Assemble and summarize data to structure sophisticated reports on financial status and risks    Develop financial models, conduct benchmarking and process analysis    Conduct business studies on past, future and comparative performance and develop forecast models    Identify trends, advise company and recommend actions to a senior financial analyst based on sound analysis    Track and determine financial status by analyzing actual results in comparison with forecasts    Reconcile transactions by comparing and correcting data    Gain and update job knowledge to remain informed about novelty in the field    Consult with management to guide and influence long term and strategic decision making within the broadest scope    Drive process improvement and policy development initiatives that impact the function
posted 2 months ago
experience8 to 12 Yrs
location
Noida, Uttar Pradesh
skills
  • SAP FI
  • IFRS
  • GAAP
  • SAP ECC
  • SAP S4 HANA Entity Accounting
  • SAP Financial Closing Cockpit
  • Financial Reporting Standards
  • Generative AI
Job Description
As an inventive transformation consultant at Capgemini Invent, you will blend strategic, creative, and scientific capabilities to deliver cutting-edge solutions that drive transformation tailored to our client's challenges of today and tomorrow. Informed and validated by science and data, superpowered by creativity and design, and underpinned by technology created with purpose. **Key Responsibilities:** - Provide strategic advice and design on the most efficient and compliant methods for Entity Accounting & Close process with SAP S/4HANA. - Offer expertise on implementing design in Entity Accounting and Close Process, ensuring compliance with IFRS, US GAAP, or other applicable accounting standards. - Lead and support the end-to-end implementation of SAP S/4 HANA Entity Accounting and Closing process. - Engage with business stakeholders to design Entity Accounting & Close process. - Configure SAP Entity Accounting (SAP S/4HANA Finance) & Closing process to meet the specific requirements of the business, ensuring alignment with IFRS, US GAAP, and local accounting standards. - Support the integration of Entity Accounting with other SAP modules (e.g., SAP FI-MM, FI-CO, FI-SD, FI-MM, FI-PS, etc.) and third-party systems. - Lead business workshops to show the process in SAP S/4HANA Entity Accounting and Closing process with SAP S/4 HANA and identify gaps. - Train business users and test processes using SAP S/4HANA Entity Accounting. **Qualifications Required:** - 8-12 years of proven experience in SAP S/4 HANA Entity Accounting (GL, AR, AP, AA, Bank Accounting, Cost Center Accounting), SAP Financial Closing Cockpit for SAP S/4HANA and analysis of financial closing tasks for the entities that recur periodically (i.e., daily, monthly, and yearly). - Hands on experience in all sub modules like SAP FI, SAP FI-GL, SAP FI-AP, SAP FI-AR, SAP FI-AA etc. - Proven track record of executing and advising on SAP S/4 HANA Finance accounting requirement with strong understanding of IFRS, GAAP, and other financial reporting standards. - Experienced as an end user of SAP Finance. - Experience in designing and implementing SAP Finance in SAP ECC or/and in SAP S/4HANA is preferred. - Prior experience in an advisory or finance capacity is a strong advantage. - Excellent communication and interpersonal skills, capable of working with senior executives and cross-functional teams. - Ability to influence change and provide actionable recommendations to senior leadership. At Capgemini, you will find a supportive environment that recognizes the significance of flexible work arrangements to maintain a healthy work-life balance. Additionally, you will have access to career growth programs, diverse professions, and opportunities to equip yourself with valuable certifications in the latest technologies such as Generative AI. Capgemini is a global business and technology transformation partner with a strong heritage trusted by clients to unlock the value of technology. The organization's services and solutions encompass strategy, design, engineering, AI, generative AI, cloud, data, and industry expertise to address diverse business needs and drive tangible impact for enterprises and society. With a team of over 340,000 members in more than 50 countries, Capgemini is committed to accelerating the dual transition to a digital and sustainable world.,
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posted 2 months ago
experience5 to 9 Yrs
location
Noida, Uttar Pradesh
skills
  • Financial Oversight
  • Financial Reporting
  • Stakeholder Engagement
  • Project Reviews
  • Cost Management
  • Change Control
  • Financial Analysis
  • ERP Training
  • Business Finance
  • Corporate Finance
  • Working Capital Management
  • Accountancy
  • Business Partnering
  • Collaboration
  • Continuous Improvement
  • Financial Awareness
  • Project Compliance
  • Financial Governance
  • Financial Controls
  • Income Recognition
  • Financial Exceptions
  • Decision Making
  • Project Hygiene
  • Financial Discipline
Job Description
As a Financial Oversight Specialist, your key purpose is to provide proactive financial oversight and support across the project lifecycle. You will ensure robust project hygiene, accurate reporting, and strong stakeholder engagement. Your role involves serving as a key point of contact for project managers, delivering training, troubleshooting, and guidance to enhance financial awareness and project compliance. By conducting regular project reviews and providing insightful reporting, you will identify projects needing attention and collaborate with cross-functional teams to drive corrective actions. Ultimately, your position will contribute to the delivery of financially sound, well-governed projects through improved visibility, engagement, and operational discipline. - Act as a key contributor within the Business Finance function, supporting strategic and operational financial goals. - Ensure corporate financial governance and controls are well understood, consistently applied, and effectively communicated across the business. - Drive and adapt to organisational change with a finance-focused lens, both internally and externally. - Monitor and challenge project financials, including income recognition, cost-to-complete, working capital, and change control, through active participation in project reviews for high-priority projects. - Identify and address financial exceptions across a broad portfolio of projects, resolving issues at the source to maintain project integrity. - Provide regular, actionable reporting to key stakeholders on project-related financial issues to support timely and effective decision-making. - Serve as a key escalation point for project-related financial issues, collaborating with wider finance teams to resolve complex challenges. - Support Operations and Business Finance teams in delivering initiatives aimed at enhancing efficiency and financial performance. - Promote and embed a strong culture of project hygiene and financial discipline across the business. - Deliver financial and ERP training to Project Managers to improve their understanding of project financials and compliance requirements. Qualifications: - Full accountancy qualification with a recognised organisation (ACA, CIMA, ACCA). - Experience in finance business partnering, supporting various senior stakeholders. - Confidence in communicating at all levels of the organisation. - Committed to enhancing collaboration across organisational boundaries. - Committed to continuous improvement and lifelong learning. - Familiarity with working collaboratively with shared services teams.,
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posted 1 week ago
experience10 to 14 Yrs
location
Noida, Uttar Pradesh
skills
  • System Integration
  • Automation
  • Collaboration
  • Business Analysis
  • Solution Design
  • Reconciliation
  • Financial Reporting
  • Data Analysis
  • Communication
  • Collaboration
  • Project Management
  • Financial Process Transformation
  • Configuring Accounting Rules
  • Designing Workflows
  • Managing Data Integrations
  • Financial Dashboards
  • GAAP Compliance
  • Efficiency
  • Data Flow Management
  • Integration Issue Resolution
  • Journal Posting Validation
  • ProblemSolving
Job Description
Job Description: At EY, you'll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture, and technology to become the best version of you. And we're counting on your unique voice and perspective to help EY become even better, too. Join us and build an exceptional experience for yourself, and a better working world for all. Role Overview: As a Manager - Workday Accounting Hub at EY, you will be responsible for financial process transformation and system integration. You will configure accounting rules, design workflows, and manage data integrations for accurate revenue, expense, and ledger postings. Your role will involve testing, deployment, troubleshooting, and providing advanced support. You will collaborate with various teams to ensure GAAP compliance, build financial dashboards, and support auditors for governance. Automation, efficiency, and collaboration are key aspects of this role. Key Responsibilities: - Manage and maintain the Workday Accounting Hub setup, including charts of accounts mapping, accounting rules, and posting logic. - Create and maintain accounting transformations to support new business processes and entities. - Oversee data flow between subledgers and the Workday Accounting Hub to ensure accuracy of accounting entries. - Perform reconciliation between source system data and GL postings to identify discrepancies. - Collaborate with IT and system owners to resolve integration issues promptly. - Validate accounting entries for completeness, accuracy, and compliance with internal policies. - Generate Workday financial reports and dashboards to support controllership and FP&A teams. - Analyze journal posting trends, exceptions, and variances to ensure financial integrity. - Support management with ad-hoc queries and audit requirements. - Participate in Workday releases, testing, and change requests related to Accounting Hub modules. - Drive process improvements and automation of journal entries within Workday. - Provide training and guidance to finance users on Workday accounting functionalities. Qualifications Required: - Strong understanding of core accounting principles, financial processes, and compliance standards. - Advanced skills in MS Excel for developing Mock Ups for clients. - Skilled in data integration tools such as Workday Studio, EIBs, and APIs. - Expertise in system administration, user access management, and BAU support. - Ability to interpret complex requirements, troubleshoot system issues, and deliver innovative solutions. - Strong experience in FP&A with expertise in budgeting, forecasting, and variance analysis. - Excellent interpersonal skills for engaging with clients and cross-functional teams. - Competence in managing multiple priorities and leading deliverables. - Workday Pro certifications in Financials or Accounting Center modules highly preferred. - Masters degree in Finance, Accounting, Business Administration, Information Technology, or related discipline. Additional Company Details (if present in the JD): EY exists to build a better working world, helping to create long-term value for clients, people, and society. Enabled by data and technology, diverse EY teams in over 150 countries provide trust through assurance and help clients grow, transform, and operate. Working across assurance, consulting, law, strategy, tax, and transactions, EY teams ask better questions to find new answers for complex issues facing the world today.,
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posted 2 weeks ago
experience3 to 8 Yrs
location
Noida, Uttar Pradesh
skills
  • Accounting
  • Compliance
  • Financial Reporting
  • Audit
  • Financial Modelling
  • Budgeting
  • MIS Reporting
  • Tally
  • QuickBooks
  • MS Excel
  • Zoho Books
Job Description
As a Financial Consultant at Equity 360, you will be responsible for supporting finance and investment banking operations. Working closely with senior CFOs/Partners, you will manage accounting, compliance, financial reporting, and audits for client accounts. Your primary duties will include: - Accounting & Compliance - Ensure end-to-end accounting using software like Tally, QuickBooks, Zoho, etc. - Handle GST, TDS, income tax compliance, and ROC filings - Support or independently manage tax audits, statutory audits, PF/ESI audits, etc. - Financial Reporting - Prepare monthly/quarterly financial statements (P&L, Balance Sheet, Cash Flow) - Create management reports and dashboards - Assist in variance analysis and reconciliation tasks - Audit & Internal Controls - Participate in and lead audits (statutory, tax, internal) - Draft audit reports and communicate with auditors - Ensure compliance with internal controls and accounting standards - Financial Modelling & Budgeting - Prepare financial models, projections, and budgets - Conduct ratio analysis, break-even analysis, and other financial analysis - Support client decision-making with financial data Qualifications Required: - CA Inter or CA Final (appeared); Article ship completed - 3-4 years of work experience in accounting, finance, and audits - Strong understanding of accounting standards, tax laws, and statutory compliance - Exposure to financial modeling, budgeting, and MIS reporting - Proficiency in Tally, MS Excel, and cloud accounting platforms like Zoho Books or QuickBooks - Good communication skills and ability to handle clients independently Nice-to-Have: - Experience in client servicing or working with multiple businesses - Knowledge of startup finance and VC-funded company compliance - Working knowledge of tools like Zoho Analytics, Power BI, or Google Sheets Join Equity360 and kickstart your career in finance & investment banking by dropping your resume at shubhanshi@equity360.in.,
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posted 2 months ago

Financial And Administrative Manager

SmartHelio Predictive Solar Software
experience6 to 10 Yrs
location
Noida, Uttar Pradesh
skills
  • financial strategy
  • finance
  • accounting
  • administrative management
  • Zoho Books
  • ebanking systems
  • financial reporting processes
Job Description
As the Finance & Admin Manager at SmartHelio Srl, a Swiss-based Certified B Corporation specializing in AI-powered solar performance management software, your primary mission is to optimize solar photovoltaic (PV) asset performance through predictive analytics and machine learning. With over 100 clients globally and more than 5 GW of assets analyzed, SmartHelio Srl has been recognized with over 20 international awards for its innovative approach to solar asset management. - Oversee accurate monthly bookkeeping in collaboration with the Junior Accountant. - Liaise with the external accounting firm for timely preparation and submission of quarterly VAT returns. - Prepare and submit quarterly financial reports to company lenders. - Track and manage invoice receivables. - Act as the main point of contact for the company's insurance broker. - Collaborate with the CEO to develop financial strategies for the company. - Develop business and revenue models for various stakeholders in the solar and clean tech industry. - Proven experience in financial strategy, finance, accounting, or administrative management, preferably in the solar or energy field. - Experience with Zoho Books is preferred. - Ability to work independently and coordinate with multiple external stakeholders. - Strong attention to detail and excellent organizational skills. - Familiarity with e-banking systems and financial reporting processes. - Previous experience working with international teams, particularly in the solar industry. SmartHelio Srl offers a collaborative work environment, a competitive salary, and the opportunity to work in a high-growth setting. If you are a finance professional with less than 6 years of experience and are looking for a full-time role with diverse responsibilities, we encourage you to apply by sending your CV to govinda@smarthelio.com & solar@smarthelio.com. We look forward to hearing from talented individuals who are passionate about contributing to the financial efficiency of our innovative solar performance management software company.,
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posted 2 months ago
experience5 to 9 Yrs
location
Noida, Uttar Pradesh
skills
  • Financial Reporting
  • Finance
  • Excel
  • PowerPoint
  • Qualified Accountant
  • Financial
  • regulatory reporting controls
  • Analytical mindset
  • Problemsolving skills
  • Verbal
  • written communication skills
Job Description
As a successful candidate for this role, you should be a Qualified Accountant (ACA, CIMA, ACCA, or MBA in Finance) with experience in Financial Reporting, Financial and regulatory reporting controls. You must possess a strong knowledge of finance and regulatory reporting, be a highly motivated self-starter with strong planning and organizational skills. Proficiency in Excel and presentation skills is required for producing different sets of MI/decks, along with knowledge of PowerPoint and an analytical mindset. Additionally, you should have strong control awareness, analytical and problem-solving skills, and excellent verbal and written communication skills, as the role demands frequent interaction with senior management. - Manage the financial operations of the organization, ensuring accuracy, integrity, and reliability of financial reporting. - Prepare and present accurate and timely financial statements and other accounting records in accordance with relevant accounting standards, rules, and regulations. - Support in identifying, assessing, and mitigating financial risks, reporting on these risks to senior colleagues. - Develop and maintain a robust system of internal controls to safeguard assets, prevent fraudulent misreporting, and ensure the accuracy of financial data. - Implement up-to-date financial policies and procedures to ensure consistent and effective financial practices across the organization. - Select, implement, and maintain financial systems and software applications, collaborating with IT colleagues for integration. - Prepare and submit statutory and regulatory reports to authorities, providing support to other departments in their preparation and review of regulatory reports. - Coordinate with external auditors and regulatory authorities to support audits and examinations. - Qualified Accountant (ACA, CIMA, ACCA, or MBA in Finance). - Experience in Financial Reporting, Financial and regulatory reporting controls. - Strong knowledge of Finance and regulatory reporting. - Highly motivated self-starter with strong planning and organizational skills. - Strong Excel and presentation skills, knowledge of PowerPoint, and analytical mindset. - Strong control awareness, analytical and problem-solving skills. - Strong communication skills verbal and written for frequent interaction with senior management. (Note: Additional details of the company were not provided in the job description.),
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posted 1 week ago

Senior Financial Analyst

AUDITICS PRIVATE LIMITED
experience1 to 4 Yrs
Salary3.0 - 7 LPA
location
Gurugram
skills
  • month end reporting
  • budgeting
  • pricing
  • finance
  • forecasting
  • advanced excel
Job Description
Job Title: Commercial Finance Analyst Away from Home (AFH) ChannelOverview: The Commercial Finance Analyst partners with cross-functional teams to drive core commercial operations and the Away From Home (AFH) channel. This role involves end-to-end financial stewardshipfrom annual planning and forecasting to campaign ROI analysis and disciplined trade spend management. The ideal candidate will be self-driven, with exceptional analytical and presentation skills, and the ability to independently manage responsibilities with confidence and precision. Key Competencies: Strategic thinking with strong commercial acumen Ability to influence cross-functional stakeholders Customer-first mindset with a focus on process improvement Resilience, persistence, and ability to manage multiple priorities Growth mindset, preferably with AFH/beverages exposure Key Responsibilities: Core Commercial Finance Partner with commercial lead to ensure FOBO business closing/planning activities are timely and accurate. Lead development of A&M and STB Annual Operating Plan and forecast. Oversee A&M budget planning, allocation, and monthly/quarterly variance analysis. Collaborate with Marketing to evaluate ROI on campaigns and optimize spend. Maintain compliance with PepsiCos policies on marketing investments and claims. Ensure accurate support to bottler (STB) reporting across all marketplace investments (Discounted Promotions, Pricing, Co-ops). Monitor Marketing Budget, track actual spends, and ensure timely closure of accounts Oversee and review claims submission, reconciliation, and reimbursement processes. Provide ad-hoc financial analysis and support to Commercial Finance Manager. Away From Home (AFH) Channel Finance Lead AFH channel financial planning, including volume, pricing, trade terms, and investments to achieve AOP. Identify growth opportunities in QSR, Modern Trade, institutional catering, travel & leisure, and other AFH sectors. Plan and control AFH trade/A&M budgets, ensuring alignment with channel strategies and local priorities. Track and control AFH trade investments, rebates, and promotional spends, ensuring accurate STB reporting and variance analysis. Collaborate with bottlers to align on AFH priorities for consistent execution and profitability. Interested candidates can share their resume on - 63837 33264
posted 1 month ago

Senior Financial Analyst

BHA FOODS PRIVATE LIMITED
experience4 to 9 Yrs
Salary5 - 12 LPA
location
Delhi, Noida+8

Noida, Bangalore, Chennai, Hyderabad, Navi Mumbai, Gurugram, Kolkata, Pune, Mumbai City

skills
  • budgeting
  • financial analysis
  • financial modeling
  • variance analysis
Job Description
We are looking for an experienced and detail-oriented Senior Financial Analyst to join our finance team. The role involves supporting financial planning, budgeting, forecasting, and reporting activities to help management make informed business decisions. You will analyze financial data, prepare management reports, and provide insights to improve profitability and efficiency. Key Responsibilities: Prepare and analyze monthly, quarterly, and annual financial reports. Support budgeting, forecasting, and long-term financial planning processes. Perform variance analysis and identify trends, risks, and opportunities. Develop and maintain financial models for business decision-making. Collaborate with various departments to track expenses and performance. Ensure compliance with accounting policies and internal controls. Assist in automation and process improvement in financial reporting. Desired Candidate Profile: Bachelors degree in Finance, Accounting, Economics, or related field. 48 years of experience in financial analysis, FP&A, or corporate finance. Strong skills in Excel, financial modeling, and reporting tools (Power BI, SAP, or Oracle). Excellent analytical, communication, and presentation skills. Ability to work independently and meet tight deadlines. Key Skills: Financial Analysis, Budgeting, Forecasting, MIS Reporting, Variance Analysis, Excel, Financial Modeling, Power BI, SAP, Cost Analysis Role Category: Finance & Accounts Role: Senior Financial Analyst Employment Type: Full Time, Permanent Experience Required: 4 to 8 years Education: B.Com / M.Com / MBA in Finance / CA / CFA preferred  
posted 1 week ago

Financial Analyst

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

Faridabad, Jammu, Pattan, Rajkot, Hyderabad, Gurugram, Chittoor, Kakinada, Ahmedabad

skills
  • modeling
  • analytical
  • communication
  • forecasting
  • accounting
  • skills
  • financial
Job Description
A financial analyst job description involves collecting and analyzing financial data to help businesses and investors make decisions. Key responsibilities include preparing financial reports, creating forecasts and models, evaluating company and market trends, and making investment recommendations. This role requires strong analytical, forecasting, and communication skills, and typically requires a bachelor's degree in a related field.    Data analysis: Gather and analyze historical and current financial data, including financial statements and market trends, to assess performance and identify areas for improvement. Forecasting and modeling: Create financial models, projections, and forecasts to predict future performance, revenue, and expenditures. Reporting and recommendations: Prepare detailed financial reports and present them to management or clients. Based on their analysis, they make recommendations for strategic business decisions or investment strategies.   Valuation: Determine a company's value by examining its financial statements and performance. Industry research: Research macroeconomic and microeconomic conditions, as well as industry and competitor information, to inform analysis and strategy   Analytical skills Financial modeling Forecasting Accounting Communication 
posted 2 months ago

Junior Financial Analyst

ODH DEVELOPERS PRIVATE LIMITED
ODH DEVELOPERS PRIVATE LIMITED
experience14 to 22 Yrs
location
Delhi, Noida+16

Noida, Singapore, Oman, Muzzafarpur, Saudi Arabia, Raigarh, Tanzania, Bangalore, Thailand, Chennai, Sudan, Hyderabad, Gurugram, Kolkata, Norway, Sweden, Mumbai City

skills
  • time
  • budgeting
  • leadership
  • management
  • communication
  • problem
  • scheduling
  • organizational
  • skills
  • project
  • solving
Job Description
As a Junior Financial Analyst you will play a crucial role in supporting our financial analysis and reporting needs. You will monitor key financial metrics, contribute to business metric reporting, and provide insightful analyses to assist in decision-making for senior management. Your work will involve consolidating and analyzing financial data, assisting with financial planning, and ensuring clarity and accuracy in financial reporting. Youll need a Bachelors degree in finance or a related field, strong analytical skills, proficiency in Excel/Sheets and PowerPoint, and a curiosity for data analysis. This role is ideal for a driven, detail-oriented individual eager to collaborate and grow in a dynamic team environment. Responsibilities Monitoring financial performance and identifying trends. Supporting monthly and quarterly business metric reporting. Conducting ad-hoc analysis for senior management. Consolidating and analyzing financial data. Assisting with financial planning and forecasting. Maintaining a corporate repository of metric definitions.  
posted 2 months ago

Senior Financial Analyst

UNITED CARGO LOGISTIC
UNITED CARGO LOGISTIC
experience15 to >25 Yrs
Salary70 - 1 LPA
location
Delhi, Noida+8

Noida, Bangalore, Chattisgarh, Chennai, Hyderabad, Gurugram, Kolkata, Pune, Mumbai City

skills
  • analytical
  • ad-hoc
  • data
  • variance
  • analysis
  • hyperion
  • performance
  • process
  • financial
  • improvement
  • strong
  • models
  • reconciliations
Job Description
We are looking for a detail-oriented and strategically minded senior financial analyst to join our finance team. The senior financial analyst's responsibilities include assisting with financial planning and budgeting processes, analyzing financial statements and reports, developing financial models, preparing projections, and performing research and analysis as may be required by leadership. As a senior financial analyst, you will also be responsible for providing project teams with financial guidance and assisting with monthly close processes. To be successful as a senior financial analyst, you should be able to perform a variety of financial activities including planning, analysis, budgeting, and reporting. You should also have strong analytical, organizational, and problem-solving skills and be able to present financial information and models in a concise and easily comprehensible manner.
posted 4 weeks ago

Chief Financial Officer (CFO)

BHA FOODS PRIVATE LIMITED
experience5 to 10 Yrs
Salary4.5 - 10 LPA
location
Delhi, Noida+8

Noida, Bangalore, Chennai, Hyderabad, Gurugram, Kolkata, Thane, Pune, Mumbai City

skills
  • financial planning
  • working capital management
  • invoice finance
  • financial analysis
  • managerial finance
Job Description
We are a growing organization committed to excellence and innovation. We are looking for an experienced finance leader to join our team and help drive our financial strategy and growth. Role Summary: The CFO will oversee the financial management of the company, including planning, reporting, budgeting, and risk management. The role requires strategic thinking, leadership, and the ability to work closely with the executive team to support business goals. Key Responsibilities: Develop and implement financial strategies aligned with business objectives. Manage budgeting, forecasting, and financial planning. Ensure accurate and timely financial reporting and compliance with regulations. Monitor financial performance and recommend improvements. Lead and mentor the finance and accounting team. Support decision-making by providing financial insights and analysis. Qualifications & Experience: Bachelors degree in Finance, Accounting, Economics, or related field; MBA/CA/CPA preferred. 10+ years of experience in finance, with leadership experience preferred. Strong understanding of finance, accounting, and regulatory requirements. Excellent analytical, communication, and leadership skills. What We Offer: Competitive salary and benefits. Leadership role in a growing company. Opportunity to make a real impact on the companys growth.
posted 2 months ago
experience6 to 10 Yrs
location
Delhi
skills
  • Strong analytical skills
  • Proficiency in financial reporting
  • Experience with GAAP
  • IFRS standards
  • Experience in digital financial MIS solutions
  • Ability to drive process improvements
Job Description
As the Manager Financial Reporting and Consolidation at our client's company in New Delhi, you will be responsible for various accounting, financial consolidation, and reporting tasks. Reporting directly to the Finance Controller, your primary responsibilities will include: - Preparation and analysis of monthly, quarterly, and annual financial statements following GAAP standards (Standalone and Consolidated IFRS). - Timely consolidation as per the given headquarter timelines. - Reconciliation of related party balance confirmation and elimination during the consolidation process. - Completion of quarterly and annual statutory audit activities within the specified timeframes. - Report preparation and analysis of all financial plan metrics. - Ensuring proper application of new accounting pronouncements by the company's entities. - Preparation of various Management reports and providing detailed analysis of monthly P&L, B/S, and Cash flow to the Finance Controller and CFO. - Implementation of digital financial MIS solutions and driving process improvements in a corporate finance setting. - Collaborating effectively with cross-functional teams, showcasing excellent communication and interpersonal skills. Qualifications required for this role include: - CA degree. - Minimum 6-8 years PQE in a MNC Group or similar experience with a top-rated audit firm. In terms of skills, the following are necessary: - Strong analytical skills. - Proficiency in financial reporting. - Experience with GAAP and IFRS standards. Preferred skills that would be advantageous for this role are: - Experience in digital financial MIS solutions. - Ability to drive process improvements.,
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posted 2 months ago
experience2 to 6 Yrs
location
Noida, Uttar Pradesh
skills
  • Valuation
  • Corporate Finance
  • Financial Reporting
  • Tax Planning
  • Market Research
  • Financial Modeling
  • IFRS
  • US GAAP
  • Microsoft Excel
  • Microsoft Word
  • Microsoft PowerPoint
  • Analytical Skills
  • Communication Skills
  • Presentation Skills
  • MA Transactions
  • Business Plans
  • ProblemSolving Skills
Job Description
Role Overview: You will be part of the Valuation & Financial Advisory team, where you will assist in performing valuation assignments for M&A transactions, tax planning, financial reporting, and other advisory services across diverse industries. Additionally, you will be involved in developing business plans, teasers, Confidential Information Memorandums (CIMs), and investor pitch decks to support fundraising and advisory engagements. Your role will also include preparing professional deliverables with high attention to detail, conducting comprehensive research, performing financial analysis, building financial models, and participating in client meetings. Key Responsibilities: - Assist in performing valuation assignments for M&A transactions, tax planning, financial reporting, and other advisory services. - Develop business plans, teasers, CIMs, and investor pitch decks for fundraising and advisory engagements. - Prepare professional deliverables including reports, engagement letters, presentations, and client correspondence with high attention to detail. - Conduct comprehensive economic, industry, and market research. - Analyze financial and non-financial data to derive insights for senior team members. - Build and maintain financial models using various valuation methodologies and analytical tools. - Participate in client meetings and calls as a secondary contact for project execution. Qualifications & Skills: - CPA designation or equivalent (preferred but not mandatory). - Prior experience in accounting, valuation, corporate finance, or M&A advisory (preferred). - Strong understanding of IFRS, ASPE, or US GAAP, with emphasis on fair value concepts. - Proficiency in Microsoft Excel, Word, and PowerPoint. - Familiarity with valuation tools such as BVR Resource, IBIS World, and Pitchbook. - Analytical thinker with strong attention to detail and problem-solving skills. - Ability to work independently and collaboratively in a fast-paced, deadline-driven environment. - Excellent communication and presentation skills with the ability to engage clients effectively. Please note that the additional details of the company were not provided in the job description.,
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posted 2 months ago

Revenue Assurance & Financial Operations

One97 Communications Limited
experience5 to 9 Yrs
location
Noida, Uttar Pradesh
skills
  • Financial Reporting
  • Financial Analysis
  • Compliance
  • Risk Management
  • Internal Controls
  • Auditing
  • Data Analysis
  • Regulatory Compliance
  • SAP
  • Advanced Excel
  • Reconciliations
  • ERP Tools
Job Description
You will be responsible for the following key areas: Role Overview: - Identifying and investigating discrepancies in revenue streams. - Implementing controls to prevent revenue leakage and fraud. - Monitoring and analyzing transaction patterns to detect anomalies. - Ensuring accurate billing and invoicing processes. - Analyzing product wise income vs cost. Key Responsibilities: - Supporting the month-end and year-end closing processes. - Assisting with financial reporting and analysis. - Ensuring compliance with relevant financial regulations (e.g., KYC, AML). - Reconciliations with partner banks and aggregators. - Identifying and mitigating financial risks associated with digital transactions. - Implementing and maintaining internal controls. - Supporting internal and external audits. - Analyzing large datasets to identify trends and patterns. - Preparing reports on revenue assurance and finance operations performance. - Using financial software and data analysis tools (e.g., Excel, SQL, data visualization tools). - Keeping up to date on all regulatory changes that affect the fintech industry. - Ensuring that the company is in compliance with all applicable laws and regulations. - Timely regulatory reporting. Qualifications Required: - CA / Semi Qualified / Graduate in Finance. - Minimum 5 years of experience in finance and controllership role. - Strong knowledge of Revenue Assurance, Accounting, financial analysis, MIS and reporting, Managing Auditors. - Proficiency in ERP tools, specifically SAP. - Advanced Excel skills. About the Company: With over 500 mn+ registered users and 21 mn+ merchants, the company is in a unique position to democratize credit for deserving consumers & merchants. They are committed to being India's largest digital lending story and offer an environment where respect is earned through support and collaboration.,
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posted 1 week ago
experience4 to 8 Yrs
location
Delhi
skills
  • Financial Operations
  • Agile
  • Reporting Excellence
  • Audit Compliance Leadership
  • Strategic Business Partnering
  • Transformation Process Optimization
  • Team Development Leadership
  • Special Projects CrossFunctional Collaboration
  • Advanced Excel knowledge
  • Strong written
  • verbal communication skills in English
  • Datadriven
  • Detailoriented
  • Proactive
  • Solutionsoriented
  • Multitasking
Job Description
As a Financial Reporting Manager at Cialfo, you will play a crucial role in leading global accounting operations across multiple jurisdictions to ensure alignment with internal policies and external statutory requirements. Your responsibilities will include: - Leading and supervising the finance team across multiple regions to ensure smooth day-to-day operations and timely month-end close. - Overseeing the preparation of accurate financial and management reports in compliance with group accounting policies, statutory regulations, and tax requirements. - Managing statutory audits and regulatory reviews, acting as the key liaison with external auditors and internal stakeholders. - Collaborating with tax agents, legal counsel, and internal tax teams to ensure full compliance with local and international audit, tax, and statutory obligations. - Serving as a trusted advisor to business leads and department heads by providing financial insights, scenario analysis, and recommendations to support decision-making. - Driving finance-related digitalization initiatives and system transformation projects to focus on automation, scalability, and operational efficiency. - Identifying and implementing process improvements to enhance reporting accuracy, reduce manual effort, and strengthen internal controls. - Coaching and mentoring team members to build technical and strategic capabilities aligned with evolving business needs. - Leading or contributing to cross-functional initiatives, including system upgrades, policy rollouts, and finance integration projects. Qualifications: - Bachelor's degree in the relevant field. - Master's degree or CA Qualification is an add on. Experience: - Minimum 4 years of experience in accounting or financial environment, with global exposure to multiple countries in the Asia Pacific, the UK, or the US. - Proven track record with hands-on experience in month-end close, bank reconciliations, general ledger oversight, and statutory compliance administration across multiple countries. - Advanced Excel knowledge is required. Skills: - Strong written and verbal communication skills in English. - Ability to convey complex financial concepts clearly across diverse audiences. - Detail-oriented with an eye for mistakes. Qualities: - Agile, proactive, and solutions-oriented with a strong sense of ownership. - Ability to multitask in a fast-paced environment. Good to have: - Prior audit experience in management accounting or an audit firm is an advantage, ideally from the Big 10 firms.,
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posted 1 month ago
experience7 to 11 Yrs
location
Noida, Uttar Pradesh
skills
  • Data Governance
  • Issue Management
  • Automation Tools
  • Business Acumen
  • Strategic Thinking
  • Lineages
  • Critical Data Elements
  • Upstream Systems to Finance
  • ORMF
  • ERMF
  • Tableau Dashboards
  • Python Coding
  • Risk
  • Controls
  • Change
  • Transformation
  • Digital
  • Technology
Job Description
Role Overview: You will be responsible for managing the financial operations of the organization, ensuring accuracy, integrity, and reliability of financial reporting. Your role will be based out of Noida. Key Responsibilities: - Manage the preparation and presentation of accurate and timely financial statements, and other accounting records in accordance with the relevant accounting standards, rules, and regulations. - Support in identifying, assessing, and mitigating financial risks, and reporting on these financial risks to senior colleagues. - Develop and maintain a robust system of internal controls to safeguard assets, ensure no fraudulent misreporting, and ensure the accuracy of financial data, including regular assessment of the effectiveness of internal controls addressing any weaknesses or gaps. - Develop and implement up-to-date financial policies and procedures to ensure consistent and effective financial practices across the organization. - Manage the selection, implementation, and maintenance of financial systems and software applications, including collaboration with IT colleagues to integrate financial systems with other enterprise systems. - Prepare and submit statutory and regulatory reports to authorities, and provide support to other departments in their preparation and review of regulatory reports. - Coordinate with external auditors and regulatory authorities in support of audits and examinations. Qualifications Required: - Familiar with Data Governance and management standards - Exposure to lineages and critical data elements - Acquainted with upstream systems to finance - Versed with ORMF, ERMF, and Issue management standards - Experience with Tableau dashboards on generating insights for senior management with raw data (highly valued) - Python coding and experience will be an added advantage (highly valued) - Understanding of the latest automation tools preferred (highly valued) Company Details: No additional company details were provided in the job description.,
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posted 2 months ago

Financial Reporting Analyst-Fixed Assets

Prometheus Consulting Services.
experience3 to 7 Yrs
location
Noida, Uttar Pradesh
skills
  • Financial modeling
  • MS Excel
  • Data analysis
  • Financial risk management
  • IFRS
  • GAAP
  • Depreciation calculation
  • Accounting principles
  • ERP systems
  • Compliance practices
  • Financial data analysis
  • Stakeholder coordination
  • Fixed asset register maintenance
  • Capitalization validation
Job Description
As a Financial Reporting Analyst-Fixed Assets at an International Investment Bank in Noida, your role involves providing financial expertise and support to specific business units or departments within the organization. You will act as a liaison between the finance function and various business units, helping to bridge the gap between financial data and business decisions. Key Responsibilities: - Development and implementation of business unit financial strategies, plans, and budgets, evaluating the financial implications of strategic initiatives and recommending appropriate actions. - Creating financial models to forecast future performance, assess investment opportunities, and evaluate financial risks. Analyzing the impact of business decisions on financial performance and providing recommendations. - Collaborating cross-functionally to provide financial insights and guidance to business unit stakeholders. - Identifying opportunities and implementing financial process improvements to streamline financial operations. - Supporting business units in identifying, assessing, and mitigating financial risks. Providing training and guidance on financial risk management and compliance practices. - Analyzing and presenting financial data to provide insights into business performance, identify trends, and support decision-making. Qualifications Required: - Strong knowledge of accounting principles and fixed asset lifecycle. - Experience with ERP systems (e.g., SAP, Coupa, GBS, etc.). - Proficiency in MS Excel and data analysis. - Attention to detail and a high level of accuracy. - Strong analytical and problem-solving skills. - Good communication and stakeholder coordination skills. - Strong Excel & PowerPoint skills. In addition to the above, some other highly valued skills include: - Maintaining the fixed asset register in accordance with company policies and applicable accounting standards (e.g., IFRS, GAAP). - Reviewing and validating capitalization of assets based on supporting documents. - Monitoring ongoing asset additions, disposals, transfers, and retirements. Ensuring proper classification of assets and assignment to appropriate cost centers or business units. - Calculating and posting monthly depreciation and reconciling depreciation accounts. You may be assessed on key critical skills relevant for success in the role, such as risk and controls, change and transformation, business acumen, strategic thinking, digital and technology, as well as job-specific technical skills. If you are interested in this opportunity, please share your updated CV at Shaleen@prometheusconsulting.in.,
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