financial-structuring-jobs-in-yanam, yanam

500 Financial Structuring Jobs nearby Yanam

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posted 2 months ago
experience15 to 20 Yrs
location
Haryana
skills
  • Financial Strategy
  • Financial Reporting
  • Risk Management
  • Capital Management
  • Investor Relations
  • Team Leadership
  • Business Valuation
  • Financial Analysis
  • Market Research
  • Due Diligence
  • Financial Planning Analysis
  • Investment delegate
  • Mergers Acquisitions
  • Deal Structuring Negotiation
Job Description
As the Chief Financial Officer (CFO) at our company, you will be a key member of the executive leadership team, directly reporting to the Directors. Your primary responsibility will be to oversee all financial aspects of the company and play a crucial role in shaping its financial strategy and operations. **Responsibilities:** - **Financial Strategy:** Develop and execute the company's financial strategy in alignment with overall business objectives. - **Financial Planning & Analysis:** Lead financial planning, forecasting, and budgeting processes. Provide insightful analysis and recommendations to optimize financial performance. - **Financial Reporting:** Ensure accurate and timely financial reporting to stakeholders, including monthly, quarterly, and annual financial statements. - **Investment Delegate:** Utilize expertise in Business Valuation, financial analysis, market research, Deal Structuring & Negotiation, Due Diligence, and negotiation to achieve investment objectives. - **Risk Management:** Identify and mitigate financial risks. Implement effective internal controls and compliance measures. - **Capital Management:** Optimize capital structure and manage capital allocation decisions. - **Investor Relations:** Serve as a primary liaison with investors, analysts, and financial institutions. Communicate financial performance and strategic initiatives effectively. - **Mergers & Acquisitions:** Lead financial due diligence and integration efforts for potential acquisitions or partnerships. - **Team Leadership:** Build and mentor a high-performing finance team. Foster a culture of collaboration, accountability, and continuous improvement. **Desired Skills:** - Bachelors degree in Finance, Accounting, Economics, or related field. MBA Finance preferred. - Proven experience (10+ years) in a senior financial leadership role, preferably as CFO or VP of Finance in an IT or Healthcare IT Company. - Knowledge of business law, contract negotiation, and transaction structuring. - Entrepreneurial mindset with a passion for business and investment opportunities. - Strong strategic thinking and analytical skills. Ability to translate financial data into actionable insights. - Excellent communication and interpersonal skills. Ability to influence and collaborate across all levels of the organization. - Demonstrated track record of driving financial performance and operational excellence. **Education:** MBA Finance In this role, you will have the opportunity to lead the financial function of the company and contribute significantly to its growth and success.,
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posted 2 months ago
experience0 to 3 Yrs
location
Noida, Uttar Pradesh
skills
  • Project management skills
  • Excellent communication skills
  • Good Statutory Audit Experience
Job Description
Role Overview: As an Associate in the TAS - Financial Due Diligence team, your primary responsibility will be to manage buy-side and sell-side transaction advisory engagements for middle market companies and private equity investors. You will play a crucial role in providing financial and business due diligence assistance, ensuring a thorough understanding of the target company's business, competitive positioning, strengths, weaknesses, opportunities, and challenges. Your analytical skills will be put to use in analyzing historic and current financial information, identifying key business drivers, and offering valuable insights to clients through our services. Key Responsibilities: - Manage buy-side and sell-side transaction advisory engagements - Analyze historic and current financial information - Identify key business drivers and provide value to the client - Identify deal issues and advise on addressing them - Prepare deliverables including reports, presentations, and client discussions - Understand transaction structure and advise on structuring issues Qualifications Required: - Qualified CA - Project management skills - Excellent communication skills - Good Statutory Audit Experience is preferable (Note: Omitting the section on additional details of the company as it does not provide any relevant information for the job description.),
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posted 1 week ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Management reporting
  • Restructuring
  • Risk advisory
  • Remodeling
  • Valuations
  • Capital structuring
  • Business analysis
  • Corporate finance
  • Stakeholder management
  • Assurance
  • Analytical MIS
  • Business efficiency mapping
  • Business structuring
  • Reorganizations
  • Management frameworks
  • Investing methodologies
  • Control systems
  • Modelling
  • Deal collateral preparation
  • Synergy analysis
  • Clientfacing experience
  • Delivery team experience
  • Finance projects
  • Efficiency measurements
Job Description
In this role, you will have the opportunity to work within a team of 2-3 colleagues and play a vital part in solving problems for clients. Your responsibilities will include analyzing the business, diagnosing problems, evaluating root causes, developing solutions, simulating outcomes, creating achievable plans, setting milestones, executing plans, and reporting results regularly. Key Responsibilities: - Management reporting & Analytical MIS - Business efficiency & effectiveness mapping - Business structuring, restructuring, and reorganizations - Instituting management frameworks or new tools & techniques - Developing efficiency and performance improvement measures - Investing methodologies, risk advisory & control systems 50% of your time will be dedicated to Investment Banking and M&A. Your tasks will involve analyzing businesses, identifying opportunities, determining business value, developing go-to-market strategies, creating financial models, evaluating funding scenarios, selecting the right investors for deals, and participating in deal-making activities such as negotiations, valuation, and deal structuring. Key Responsibilities: - Modelling/ remodeling businesses to unlock growth potential - Preparation of deal collateral including detailed financial models and investor information memorandums - Performing valuations and benchmarking against comparators - Capital structuring and providing negotiation inputs to stakeholders - Identifying investor thesis, mandate research, and fund strategy - Synergy analysis or post-transaction fitment analysis Qualifications Required: - Experience in a client-facing & delivery team from Big5, Consulting firms like MBB, Oliver Wyman, Parthenon, A&M, Investment banking firms, boutique investment banking firms, or VC/PE firms - Exposure to finance and management projects such as Advanced FP&A, Founders Office, Chief of Staff, Management Reporting - Roles involving financial or business analysis, corporate finance/business finance, management reporting/stakeholder management, assurance or risk advisory, and efficiency measurements/assessment (Reference: iimjobs.com),
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posted 2 weeks ago
experience10 to 15 Yrs
location
Gujarat, Ahmedabad
skills
  • Corporate Finance
  • Strategy
  • Financial Modelling
  • Fundraising
  • Capital Structuring
  • Investor Relations
  • Project Finance
  • Regulatory Compliance
  • Team Leadership
  • IPO preparation
Job Description
Role Overview: As a Corporate Finance & Strategy professional, you will be responsible for scaling financial operations from a Private Limited to Listed Company environment. Your role will involve handling IPO preparation, listing compliance, and interacting with SEBI, stock exchanges, and merchant bankers. You will also be involved in equity and debt fundraising, project financing, and managing relationships with banks, NBFCs, and investors. Additionally, strategic planning, budgeting, forecasting, and financial modeling for EPC projects will be a key part of your responsibilities. Key Responsibilities: - Oversee group-level consolidation of financial statements across Indian and international subsidiaries. - Ensure timely and accurate preparation of P&L, balance sheet, and cash flow reports on a monthly, quarterly, and annual basis. - Optimize capital allocation, working capital management, and leverage ratios. - Lead fundraising activities for equity, debt, and hybrid instruments across projects and operating companies. - Serve as the primary point of contact for existing and prospective investors, both domestic and international. - Monitor project cash flow waterfalls, lender obligations, and capital recovery schedules. - Ensure full statutory, tax, FEMA, GST, ROC, and international regulatory compliance across all jurisdictions. - Build, lead, and mentor a high-performing finance team across Indian HQ and international units. Qualification Required: - Mandatory Educational Qualification: Chartered Accountant (CA) - Total Experience: Minimum 10-15 years of post-qualification experience. - Relevant Experience: At least 2-3 years in a CFO/senior finance role within an EPC or infrastructure project-based organization. Please note that the additional details of the company were not included in the provided job description.,
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posted 2 weeks ago
experience4 to 8 Yrs
location
Chennai, Tamil Nadu
skills
  • Communication
  • Excel
  • SQL
  • Alteryx
  • Teamwork
  • Business acumen
  • Strategic thinking
  • Financial data analysis
  • Problemsolving
  • Hypercube
  • Risk
  • controls
  • Change
  • transformation
  • Digital
  • technology
  • Treasury background
Job Description
As a Treasury Principal Structuring and Investment Risk & Analytics at Barclays, you will be responsible for assisting in the production and analysis of financial data used in critical business processes of PSI Luxembourg Treasury. You will work closely with Lux to analyze current processes, identify and deliver business process improvements, streamline activity, increase quality, ensure compliance with the bank-wide Enterprise Risk Management Framework, and enhance resilience. At Barclays, we are not just anticipating the future - we are creating it. **Key Responsibilities:** - Develop and maintain a variety of risk reports, including credit, market, operational, and liquidity risk reports, and regulatory reports. - Extract risk data from various sources, including internal systems, risk models, and external market data feeds. - Analyze risk data to identify trends, patterns, and outliers, and assess the impact of risk exposures. - Monitor key risk indicators and metrics to identify emerging risks and track the effectiveness of risk mitigation strategies. - Develop and implement risk reporting improvements and automation initiatives. **Qualifications Required:** - Undergraduate or equivalent degree in Business, Economics, Finance or Mathematics. - Strong aptitude for working with numbers and collecting/analyzing financial information. - Innovative problem-solving skills and the drive to continuously improve working environment and analytical skills. - Strong communication and social skills to handle demanding business partners and communicate complex ideas to stakeholders. - Excellent competency using Excel. Knowledge of SQL, Hypercube or Alteryx is highly desirable. - Team-oriented with the ability to work in a fast-paced, dynamic, and flexible environment within a complex organization. - Demonstrable understanding of technology and/or business processes. Treasury background is desirable. The role is based out of Chennai. You will 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. As a member of the team, you are expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence, and Stewardship. Additionally, you should showcase the Barclays Mindset to Empower, Challenge, and Drive - the operating manual for how we behave.,
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posted 1 month ago

Financial Modeling Analyst-M&A

ALCOR CROSS BORDER M&A PVT. LTD.
experience3 to 7 Yrs
location
All India
skills
  • Financial analysis
  • Financial modeling
  • Valuation
  • Presentation skills
  • Problem solving
  • Analytical skills
  • English communication skills
  • Client interaction skills
  • Interpretation skills
Job Description
Role Overview: You will be responsible for working on M&A deal structuring and execution, coordinating with clients, and handling end-to-end execution for M&A/PE (Mergers & Acquisitions/Private Equity). Reporting to the Vice President/Director, you will play a crucial role in building financial models, preparing presentations, conducting market research, and leading the execution of deals. Key Responsibilities: - Build financial models from scratch and maintain/update existing models with newly available data - Prepare PowerPoint presentations, valuations, financial forecasts, business plans, and reports to support investment decisions - Create Teasers, Pitchbooks, IM/CIM, BCVPs, SGRM, LoI, MoU/TS, JV agreements, and other necessary documents for investment banking - Conduct market research and financial analysis on industry peers, track developments, and regulatory changes in the Investment Banking space - Participate in teleconferences and meetings with clients and forum companies at all deal stages - Work on due diligence, deal negotiation, structuring, and closure, with internal coordination - Direct efforts on multiple projects, negotiate business contracts, and ensure timely delivery and closure - Lead deliveries at various deal milestones and be directly responsible for transaction realization - Create and maintain updated databases of Financial Institutions, Banks, PE Firms, and Investors, and interact with them for business opportunities Qualifications: - Excellent financial analysis, modeling, and valuation skills - Exceptional presentation and English communication skills - Client interaction and problem-solving abilities - Strong analytical and interpretation skills Additional Company Details: Omit this section as there are no additional details of the company mentioned in the job description. (Note: Application questions and contact details have been omitted for privacy reasons),
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posted 2 months ago
experience5 to 9 Yrs
location
Delhi
skills
  • Finance
  • Asset Reconstruction
  • Deal Sourcing
  • Financial Reporting
  • Tax Compliance
  • Compliance Management
  • Investment Management
  • Due Diligence
  • Valuation
  • Investor Reporting
  • Relationship Management
  • Valuations
  • Performance Dashboards
  • Closing of NPADistressed Assets
  • SEBI AIF Regulations
  • Portfolio Construction
  • Audit Supervision
  • IRR Models
  • AMLKYC
  • Fiduciary Duties
  • SEBI Reporting
  • Investor Disclosures
Job Description
Role Overview: You are the Fund Manager (CFO + CCO) for a Category I Alternative Investment Fund (Special Situations fund) located in Delhi. Your role involves managing fund operations, financial leadership, and ensuring regulatory compliance under the SEBI (AIF) Regulations, 2012. You will be responsible for driving investment strategy, overseeing financial functions, and maintaining compliance with relevant guidelines. Key Responsibilities: - Drive investment strategy, asset allocation, and portfolio construction. - Lead deal sourcing, due diligence, structuring, execution, and exits. - Monitor portfolio performance, valuation, and investor reporting. - Develop and maintain relationships with family offices, institutional investors, and regulators. - Oversee financial reporting, NAV computation, treasury, and fund accounting. - Supervise audits, investor statements, reconciliations, and tax compliance. - Manage capital calls, distributions, IRR models, valuations, and performance dashboards. - Act as the designated Compliance Officer under SEBI AIF Regulations. - Ensure compliance with SEBI guidelines, FEMA, Companies Act, IBC, and taxation rules. - Monitor governance, AML/KYC, conflict-of-interest policies, and fiduciary duties. - File SEBI reports, investor disclosures, and periodic returns in a timely manner. - Ensure compliance staff and fund personnel hold required SEBI/NISM certifications. Qualifications: - Mandatory Certification: NISM-Series XIX-C/D: Alternative Investment Fund Managers Certification. - Education: CA, CFA, CMA, CS, MBA (Finance/Strategy), LLB+LLM, or equivalent. - Experience: Minimum 5+ years of proven experience in AIFs, private equity, venture capital, distressed assets, investment banking, or fund advisory. - Strong grasp of SEBI AIF framework, corporate laws, accounting, and governance standards. Additional Details: The main promoter and fund sponsor of the company is an ARC Lawyer with over 5 years of experience in asset reconstruction activities, including deal sourcing and closing of NPA/distressed assets and companies from NCLAT/DRAT/BANKS/NBFC/liquidators. Note: Kindly reach out to jobs@fairvalueconsultancy.com or contact 818181 2303 for this urgent requirement.,
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posted 3 weeks ago
experience16 to 20 Yrs
location
Karnataka
skills
  • Financial structuring
  • Risk assessment
  • Negotiation
  • Financial analysis
  • Pricing strategy
  • Sales strategy
  • Compliance
  • Leadership
  • Presentation skills
  • Excel
  • Stakeholder management
  • Deal modeling
  • Financial terms evaluation
Job Description
As a Senior Director - Strategic Pricer at our company, you will play a crucial role as a key financial and commercial advisor to deal teams. Your responsibilities will include developing deal strategy, structuring deals, guiding client negotiations, and providing financial expertise to support deal modeling and risk assessment. You will be the financial representative both internally and externally with clients and advisors. Key Responsibilities: - Undertake financial structuring and analysis of deals to meet business objectives - Craft pricing models, assess deal profitability, cash flow, metrics, and financial viability, and identify potential risks throughout the bid lifecycle - Partner with and lead the deal team in analyzing financial strategies and solutions, actively engaging in deal shaping and formulating a winning sales strategy - Support client negotiations of financial and commercial terms to ensure the signing of contracts capable of delivering approved returns - Collaborate with deal teams, FP&A, Tax, technical accounting, and other areas as required - Contribute to financial materials for internal deal governance - Compile and maintain work products and aids used to report KPIs, progress, and metrics to leadership and stakeholders - Support compliance with company processes and policies, including approved toolsets - Validate commercial and financial Terms and Conditions to evaluate and track risk to revenue and margins - Drive the use of standardized tools and methodologies, ensuring best practices are consistently applied - Promote and support regional and global pricing initiatives, ensuring internal customer satisfaction with the pricing team's performance - Align pricing strategy with business needs and imperatives Mandatory Capabilities/Skills /Years of Experience: - 16+ years of experience in pricing/Finance with exposure to pricing deals - Strong business acumen and ability to interact with multiple stakeholders - Ability to deal with ambiguity, along with leadership, negotiation, and presentation skills - Good understanding of Finance functional areas impacting revenue recognition, pricing, and contract terms & conditions - Ability to coach, mentor, and guide associates in career development - Proficiency in Excel and related tools to provide effective support for large and strategic transactions - Experience interacting with clients to present commercial propositions and negotiate contractual terms Preferred Capabilities/Skills/Years of Experience: - Experience working overseas for stakeholder management Please let me know if you need any further information.,
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posted 1 week ago
experience2 to 6 Yrs
location
Gujarat, Ahmedabad
skills
  • Financial advisory
  • Financial Modelling
  • Companies Act
  • GST
  • FEMA
  • Valuation
  • Tax Regulatory Advisory
  • Incometax
  • SEBI
  • IND AS
  • Agreement Drafting
Job Description
As a Chartered Accountant with 2-4 years of experience in Tax & Regulatory Advisory, you will be responsible for the following: - Advising clients on various Transaction and Strategic Advisory Projects including Structuring, Tax & Regulatory Advisory, Valuation Advisory, Deal Advisory, Pre-IPO Advisory, Regulatory Representations, and Agreement Drafting. - Handling Valuation, Financial advisory, Financial Modelling, and other tasks as required by the Project. - Working closely with Partners to provide substantive support on different aspects of projects. To excel in this role, you are required to have: - Qualified Chartered Accountant with 2-4 years of experience. - Deeper knowledge and understanding of Tax-Regulatory-law. - Fair understanding of financial aspects in strategic business decision making. This position offers you the opportunity to work with mid to large corporates, advising on areas including Companies Act, Income-tax, GST, SEBI, FEMA, IND AS, Valuation, and key financial aspects related to deals.,
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posted 2 months ago
experience2 to 6 Yrs
location
Chennai, Tamil Nadu
skills
  • Financial Analysis
  • Due Diligence
  • Analytical Skills
  • Leadership
  • Interpersonal Skills
  • Stat Audit
Job Description
You will be working at BDO India LLP, the India member firm of BDO International, offering strategic, operational, accounting, tax & regulatory advisory services for domestic and international organisations. The company is led by more than 300 Partners & Directors with a team of over 8500 professionals operating across various cities in India. As an Assistant / Senior Assistant in the Due Diligence department located in Chennai, you will report to either a Manager or Partner. The ideal candidate for this position is an ACCA member with Stat Audit experience. **Role Overview:** - Assisting organisations with buy side and sell side due diligence. - Developing an understanding of the target business including its competitive positioning, strengths, weaknesses, opportunities, and challenges. - Analyzing and validating data accuracy, following up with clients and third-parties, and resolving anomalies. - Performing financial analysis, drawing conclusions, and identifying issues. - Developing rapport with client management. - Nurturing & coaching team members and assistants. - Assisting in the preparation of proposals. - Working on a variety of deals across different industry verticals. **Key Responsibilities:** - Analytical capabilities - Creative and innovative thinking - Strong technical knowledge - Leadership qualities - Persistence and persuasiveness - Interpersonal relationship & respect At BDO India, Due Diligence involves a comprehensive review procedure that includes verification of records, meetings with key persons, and extensive data analysis. The focus is on verifying compliances, highlighting risks and liabilities, and providing key inputs for transaction structuring. Join BDO India to be part of a client-centric and knowledge-driven work culture where exceptional client service is delivered through tailor-made solutions ensuring quality excellence & time efficiencies.,
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posted 2 months ago

Intern

Yash Harsh & Associates
experience0 to 4 Yrs
location
Indore, Madhya Pradesh
skills
  • Tax Audits
  • Consultancy
  • Compliance Management
  • Financial Structuring
  • Project Financing
  • Direct Indirect Taxation
  • Statutory Audits
  • Bank Audits
  • Return Filings
  • Litigation Handling
  • Client Interactions
Job Description
Role Overview: You will be joining Yash Harsh & Associates, a renowned Chartered Accountancy firm established in 2016, known for its dedication to quality and excellence. Specializing in Direct & Indirect Taxation, Statutory and Tax Audits, Bank Audits, Financing, and Business Consultancy, our team is committed to providing practical solutions with a focus on accuracy, integrity, and building lasting client relationships. Key Responsibilities: - Manage day-to-day tasks related to Direct & Indirect Taxation including consultancy, compliance management, return filings, and litigation handling - Gain hands-on experience in Audit & Assurance through involvement in statutory audits, tax audits, and bank audits - Assist in Financing & Advisory tasks such as financial structuring, project financing, and consulting - Collaborate closely with partners to understand and contribute to real-world client engagements Qualification Required: - CA-IPCC both groups cleared (Note: No additional details about the company were provided in the Job Description),
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posted 2 months ago
experience3 to 7 Yrs
location
All India
skills
  • Financial Planning
  • Project Funding
  • Banking
  • Financial Modeling
  • Compliance Management
  • Relationship Management
  • Cost Optimization
  • Accounting Operations
  • Audit Coordination
  • Collections
  • MIS Reporting
  • Budgeting
  • Cash Flow Forecasting
  • Analytical Skills
  • Negotiation Skills
  • Financial Leadership
  • Statutory Filings
  • Revenue Monitoring
Job Description
Role Overview: As the Chief Financial Officer (CFO) of the company, your role is crucial in managing the financial actions and providing strategic financial leadership. Your responsibilities include overseeing project funding and banking activities, financial planning and strategy, accounting and compliance operations, collections, revenue monitoring, and reporting. Key Responsibilities: - Project Funding & Banking: - Liaise with banks, NBFCs, and private equity firms for project loans and financial structuring. - Prepare and submit financial models, CMA reports, and loan proposals for funding approvals. - Maintain compliance with loan covenants and ensure timely submission of financial reports to lenders. - Explore new financing options such as construction finance, lease rental discounting (LRD), and working capital lines. - Build and maintain strong relationships with relationship managers, credit teams, and rating agencies. - Monitor project-specific fund inflow and outflow to avoid cash flow mismatches and delays. - Financial Planning & Strategy: - Prepare and manage project-wise budgets and cash flow forecasts. - Monitor cost performance and suggest cost-optimization measures. - Provide financial insights to support strategic decision-making. - Accounting & Compliance: - Oversee accounting operations handled by the Accounts team. - Ensure timely statutory filings including GST, TDS, ROC, RERA compliance, etc. - Coordinate with auditors for internal and external audits. - Collections & Revenue Monitoring: - Coordinate with the CRM team to ensure timely invoicing and follow-up. - Reporting: - Generate MIS reports on project profitability, fund utilization, and budget variance. - Present monthly/quarterly financial dashboards to management. Qualifications & Skills Required: - Education: CA / MBA Finance / M.Com or equivalent. - Experience: 3+ years in real estate, infrastructure, or construction sectors. - Tools: Tally, MS Excel (advanced), ERP (SAP / Buildsmart / RealBooks preferred). - Strong understanding of project-based accounting. - Familiarity with RERA, local taxation, and real estate financing norms. - Excellent analytical and negotiation skills. (Note: Omitting any additional details of the company as it was not provided in the JD),
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posted 2 months ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Financial Management
  • Financial Audits
  • Risk Management
  • Compliance
  • International Taxation
  • Banking Products
  • Investment Modelling
  • ESOP Management
  • Cash Efficiency Analysis
  • Corporate Structuring
  • Investment Vehicles
  • Engagement with RBI
  • Handling Investments
  • Investor Relationships
  • Business Insight
  • Excel Proficiency
  • Accounting Principles
  • PL Sheet Preparation
  • Valuation Report Making
  • Financial Report Making
  • Company Secretary Coordination
Job Description
Role Overview: As a Financial Management Specialist at CynLr, your role will be pivotal in managing the company's financial models and management systems to maximize the conversion of expenses into investments. You will be responsible for modeling and metricizing intangible values created within the organization in monetary terms and incorporating them into the pricing strategy. Your primary focus will be on mapping the chain-reaction of value across business functions to automate the building of the organization. Key Responsibilities: - Manage cross-border banking, currency movement, and financial management, including treasury management and holding currency management to mitigate value loss. - Model and manage financing options such as debt financing and equity financing, and derive valuations for investments. - Oversee ESOP management, shareholder management, and financial audits. - Analyze cash efficiency and exercise financial prudence. - Ensure corporate structuring and compliance by understanding the impact of laws on finance. - Handle international structuring, modeling hold-co control for legal and tax efficiency, and cross-border value distribution. - Engage with international labor law, work visas, and resource movement. - Demonstrate proficiency in business insight, Excel, accounting principles, P&L sheet preparation, valuation and financial report making, financial audits, and company secretary coordination. Qualifications Required: - Proficiency in banking products, handling international transactions, and investment vehicles. - Knowledge of international taxation and material/assets movements across subsidiaries. - Experience in engaging with RBI, handling appeals & intimations, and other country fiduciary bodies. - Ability to handle investments and investor relationships. About CynLr: CynLr is a VC-funded fundamental technology startup that focuses on building hardware and software platforms for industrial robots. The company aims to enable robots to perceive, learn, and manipulate objects efficiently. With a 60-member team distributed across Switzerland, India, and the US, CynLr manages 400+ supply chain partners in 16 countries. The company's vision is to create a digital marketplace for tasks and objects, ultimately revolutionizing the role of robots in various industries.,
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posted 2 months ago
experience5 to 9 Yrs
location
Gujarat, Ahmedabad
skills
  • Financial Analysis
  • Real Estate Investments
  • Acquisitions
  • Development Projects
  • Cash Flow Forecasting
  • Feasibility Studies
  • Market Research
  • Due Diligence
  • Financial Reporting
  • Data Analysis
  • Microsoft Excel
  • PowerPoint
  • Word
  • Analytical Skills
  • Real Estate Transactions
  • Communication Skills
  • Interpersonal Skills
  • Project Valuation
  • Return Analysis
  • Excel Modelling
  • Risk Assessments
  • Investment Memoranda
  • Scenario Building
  • ProblemSolving
  • Real Estate Modelling
Job Description
As a Real Estate Financial Analyst, your role will involve building and managing complex financial models to evaluate real estate investments, acquisitions, and development projects. You will be responsible for detailed financial analysis, deal structuring, and performance tracking to support strategic business decisions. Key Responsibilities: - Develop, maintain, and enhance detailed financial models for acquisitions, dispositions, and development projects. - Perform cash flow forecasting, project valuation, and return analysis (IRR, NPV, ROI, etc.) using advanced Excel modelling. - Analyze real estate investment opportunities and prepare comprehensive financial and risk assessments. - Conduct feasibility studies, market research, and sensitivity/scenario analyses to support decision-making. - Support the due diligence process by reviewing financial, legal, and operational documents. - Structure deals by evaluating capital stack options and preparing investment memoranda. - Prepare and present financial reports, dashboards, and investment summaries for senior management and stakeholders. - Track and report the financial performance of ongoing projects and existing assets. - Collaborate with cross-functional teams including project management, operations, and legal to gather and validate inputs for analysis. - Stay updated with industry trends, market dynamics, and regulatory developments impacting the real estate sector. Qualifications Required: - Bachelor's degree in Finance, Accounting, Business, Economics, or a related field (CA or MBA preferred). - Relevant experience in real estate finance, investment analysis, or financial modelling. - Advanced proficiency in Microsoft Excel, including financial modelling, data analysis, and scenario building. - Proficiency in PowerPoint and Word for presentations and reporting. - Strong analytical, quantitative, and problem-solving skills. Additional Company Details: - Job Type: Full-time - Education: Master's (Required) - Experience: - Financial Analyst/ Financial analysis: 6 years (Required) - Real Estate/ Construction investment analysis: 6 years (Required) - Financial modeling: 5 years (Required) - Work Location: In person Preferred Qualifications: - Prior experience in real estate transactions (acquisitions, dispositions, or development). - Familiarity with real estate modelling tools such as Argus, REFM, or similar. - Strong communication and interpersonal skills. - Ability to work both independently and within a collaborative team environment.,
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posted 1 month ago
experience8 to 12 Yrs
location
Maharashtra
skills
  • Risk Management
  • Financial Markets
  • Structured Finance
  • Business Development
  • Relationship Management
  • Communication Skills
  • Team Management
  • Interpersonal Skills
  • FIG Relationship Management
Job Description
As the Head of Financial Institutions Group, India at ANZ, your role is crucial in maximizing business profitability from local FIG clients by implementing and executing the Global FIG strategy. Your strong leadership skills are required to develop and expand the market position, maximize revenue opportunities, and manage financial and non-financial risks effectively. **Key Responsibilities:** - Grow the FIG business by developing and driving the regional strategy - Engage in direct deal engagement and secure senior client sponsorship - Manage financial and non-financial risks - Lead client relationships to achieve maximum returns and revenue targets - Collaborate with Product Partners, R&A team, and other stakeholders to define credit requirements and deal structuring - Build internal relationships with key stakeholders to deliver an efficient global account coverage program - Model and promote ANZ values and leadership behaviors within the team **Qualifications Required:** - Experience in managing a portfolio of FIG clients with strong business development skills - Sound understanding of local market and communication skills - Competence in key lending, transaction banking, financial markets, and structured finance - Strong risk management skills acquired through corporate & institutional banking experience - Ability to lead and motivate diverse teams with strong interpersonal skills - Self-motivated, proactive, and able to operate successfully across cultures ANZ offers a dynamic work environment where your contributions will have a meaningful impact on customers and communities. As part of ANZ, you will have access to resources, opportunities, and support for your career growth. We value diversity and offer flexible working arrangements and benefits to support our employees" well-being. If you possess most of the skills required and have a growth mindset, we encourage you to apply for this role by visiting ANZ Careers and searching for reference number 104260.,
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posted 5 days ago
experience2 to 8 Yrs
location
Maharashtra, Pune
skills
  • Financial modeling
  • Financial analysis
  • Valuation
  • Risk analysis
  • Project financing
  • Accounting
  • Analytical skills
  • Excel
  • Macros
  • Tax structuring
  • Financial valuation methodology
Job Description
You will be responsible for financial modeling, financial analysis, valuation, and risk analysis of greenfield and M&A transactions in the AMEA region. Your key responsibilities will include: - Preparation of financial models and valuation of projects in compliance with investment guidelines, modeling standards, and methodology. - Conducting financial analyses or reviewing and/or auditing financial models. - Assisting with the structuring and execution of financing plans for new projects. - Preparation of accounting and tax impacts of transactions in financial models (with support from relevant expertise centers and/or external consultants). - Assisting with analysis on risk allocation, bankability issues, optimization & tax structuring. - Contributing to the monitoring and/or review of internal methods for the AIFA team and ensuring adherence with methods set or shared with Global AIFA. - Proposing enhancements to financial modeling related/analytical methods. Qualifications and Experience required: - Finance/Economics based degree or a professional qualification such as CFA, CIMA, ACA, ACCA (or equivalent) or other (engineer). - 2 to 8 years of relevant experience as a Financial Analyst/Advisor, preferably within a sponsor-side AIFA/Project Finance team, Bank, Financial Advisory firm, or accounting/Fiscal Advisory firm. - Proven experience in financial modeling and proficiency in Excel, including writing basic Macros. - Proficiency and knowledge of Financial Valuation methodology. You should have the following specific knowledge/skills: - Strong and proven analytical skills, including proficient financial modeling. - Good understanding of accounting topics and tax structuring. - Good understanding of energy business and risk allocation frameworks. - Exposure to renewable and conventional energy business in India, Middle East, Africa would be an advantage. - Planning ability and capacity to deliver on plans and work independently. Location: - Primary Location: Pune or Mumbai - Open to Travel as per job requirement (not extensive),
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posted 1 day ago
experience20 to 24 Yrs
location
Karnataka
skills
  • Governance
  • GAAP
  • SOX
  • Performance Management
  • Strategic Financial Planning Capital Structuring
  • Global Financial Operations MultiCurrency Management
  • Risk Compliance IFRS
  • GDPR
  • Investor Relations Fundraising EquityDebtMA
  • FPA Profitability Optimization
  • CrossBorder Taxation Transfer Pricing Strategy
Job Description
As a Fractional Chief Financial Officer (CFO) at VectorStack, you will play a crucial role in providing strategic financial leadership and ensuring robust fiscal governance for our fast-scaling AI and digital transformation partner. Your expertise in IT services finance, international financial operations, and multi-currency management will directly influence financial strategy, risk management, and global profitability for our enterprise technology solutions across various regions. **Key Responsibilities** - Define and execute a global financial strategy aligned with corporate growth objectives. - Advise the CEO and Board on long-term capital structuring, M&A opportunities, and international expansion. - Drive fundraising strategy (equity, debt, hybrid) and investor engagement. - Oversee financial operations across multiple regions and ensure compliance with various financial standards. - Implement enterprise-wide financial controls and risk management frameworks. - Lead financial forecasting, FP&A, budgeting, and KPI tracking. - Prepare and present board-level financial reports and investor updates. **Qualifications & Experience** - 20+ years in progressive finance leadership, with 10+ years in senior roles within IT services/technology. - Expertise in managing multi-entity, multi-currency financial operations across global markets. - Proven success in scaling IT services businesses, M&A, fundraising, and investor relations. - Strong understanding of AI/technology investment models, SaaS/PaaS economics, and services revenue recognition. - Track record of working with global boards and cross-border financial structures. **Preferred Certifications** - CA (Chartered Accountant) or CPA (Certified Public Accountant) - CFA Charterholder (or Level III cleared) - CIMA / CGMA (Chartered Global Management Accountant) - IFRS Certification for international reporting In this fractional role, typically 12 days per week or agreed monthly hours, you will have the opportunity to collaborate directly with the CEO, Board, and global leadership. Your compensation will be a competitive retainer plus performance incentives with potential equity participation. By joining VectorStack, you will shape the financial future of a high-growth, AI-first global tech company, influence strategy at the board level, and be part of an innovative leadership team driving global financial operations and capital structures.,
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posted 1 day ago
experience5 to 9 Yrs
location
All India
skills
  • Fundraising
  • Compliance
  • Financial Operations
  • Investor Relations
  • Legal
  • Tax
  • Financial Modeling
  • Pitch Decks
  • Equity Structuring
  • Capital Strategy
Job Description
As the Chief Financial Officer (CFO) at Asraya, a pre-revenue AI-driven real estate tech startup, you will play a pivotal role in the founding team on an equity-only basis. Your responsibilities will focus on fundraising, compliance, and financial operations, which are essential in establishing the company's financial foundation. - Lead the fundraising strategy across pre-seed, pre-revenue, and seed stages, including creating pitch decks, engaging with investors, and negotiating term sheets. - Build and nurture relationships with VCs, angel investors, and accelerators, collaborating on business model refinement, monetization strategies, and investor relations. - Ensure compliance with legal, tax, and regulatory frameworks by closely working with legal advisors and external accountants. - Develop and oversee financial models, forecasts, and budgets, manage equity structuring, and devise capital strategy to drive the company's growth and sustainability. Your background as a Chartered Accountant (CA) or equivalent, along with extensive experience in fundraising or startup finance, preferably in a CFO or Head of Finance role, will be critical. Additionally, an existing network of VCs or angel investors, knowledge of startup exits, M&A, or IPOs, and proficiency in financial modeling, compliance, and startup fundraising cycles are prerequisites. Your expertise in navigating equity structures, term sheets, and early-stage investment dynamics, as well as your willingness to work without a salary until funding is secured, will be vital. Join Asraya and contribute to reshaping the real estate industry with cutting-edge technology, innovation, and customer-centric solutions. Contact us at +91 9142201817 or avinash@asrayaa.com to apply or learn more about this exciting opportunity.,
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posted 5 days ago
experience4 to 8 Yrs
location
Gujarat, Ahmedabad
skills
  • Financial Analysis
  • Underwriting
  • Due Diligence
  • Risk Assessment
  • Excel
  • Analytical Skills
  • Communication Skills
  • Negotiation Skills
  • Investment Modelling
  • Real Estate Market Research
  • Investment Presentation
Job Description
Role Overview: As a Senior Financial Analyst in Asset Management in the Real Estate - Investment / Private Equity industry, you will play a crucial role in evaluating investment opportunities, underwriting deals, managing financial due diligence, and overseeing asset performance. Your strong analytical, financial modeling, and project management skills will be essential to support the full investment lifecycle. Key Responsibilities: - Monitor and support the execution of business plans throughout the investment lifecycle. - Assist in tracking financial performance, operating budgets, and cash flow projections for portfolio assets. - Prepare monthly investor/lender reports and quarterly investor updates. - Support refinancing and asset disposition efforts as needed. - Support the evaluation of real estate investment opportunities, including financial underwriting and risk assessment. - Conduct market research, comps analysis, and tax underwriting to assist in investment decision-making. - Prepare initial bid recommendations, financial models, and investment memorandums. - Assist in managing due diligence, deal structuring, and execution while coordinating with legal, tax, and financial teams. - Support financing efforts, including lender diligence, lender book review, and debt/equity structuring. - Oversee closing coordination, including third-party reports, settlement statements, and documentation review. Qualification Required: - 4-7 years of experience in real estate investment, private equity, or asset management. - Strong expertise in financial analysis, underwriting, and investment modeling (DCF, IRR, NPV, cap rates, etc.). - Knowledge of real estate market research, due diligence, and risk assessment. - Proficiency in Excel, financial modeling, and investment presentation tools. - Ability to manage multiple projects simultaneously and work under tight deadlines. - Strong analytical, communication, and negotiation skills. - Immediate joiners preferred. - Bachelor's or Masters degree in Finance, Real Estate, Business, or related field is a preferred qualification.,
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posted 1 day ago
experience3 to 7 Yrs
location
Delhi
skills
  • Financial Reporting
  • Consolidation
  • Audit
  • IFRS
  • MIS
  • INDAS
  • Internal Financial Controls
  • Chartered Accountant
Job Description
As a Financial Reporting Specialist, you will have the opportunity to work in the dynamic field of Financial Reporting, IND-AS, Consolidation, and Audit. You will gain exposure to corporate structuring, investor due diligence, and interaction with lenders regarding financial compliances. Your key responsibilities will include: - Reviewing Annual financials post finalization of accounts (under IND-AS & IGAAP) - Monitoring the preparation and finalization of Annual financials for all companies, ensuring accuracy - Consolidating Annual Financials of Holdco [140+ Companies] - Preparing Special Purpose Consolidated Annual Financials of Sub-Holdco - Creating IFRS/Ind AS Financial Statements with detailed Notes to Accounts on Quarterly & Annually basis - Reviewing Annual closure of books of accounts in compliance with IFRS/Ind AS - Managing and preparing data for Consolidation of numbers with Group Company as per the IFRS/Ind AS - Handling shareholders reporting/regulatory reporting as per IFRS/Ind AS - Planning Audit and ensuring smooth audit closure with team support - Engaging with Group Auditors for Compliances & timely closure of Audit issues - Engaging with Statutory/Internal Auditors for Compliances & timely closure of Audit issues - Adhering to Internal Financial Controls requirement and identifying/closing accounting gaps proactively - Developing robust MIS for evolving business needs - Establishing internal controls and systems for business operations - Reviewing and ensuring lender convent compliance and disbursement-related certificate requirements - Preparing and updating BPN and RCM and proposing new controls to mitigate gaps - Ensuring tax and related compliances are met Ideal Skills for this role: - Qualified Chartered Accountant - Bachelor's degree or above in Accounts/Commerce - 3-6 years of experience - Experience in Financial Reporting, IND-AS, Consolidation, and Audit - Strong communication, analytical skills, and eagerness to learn.,
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