Vice President - Corporate Finance Operations
Role :
Lead the Corporate Finance operations consisting of Financial Reporting, Treasury, Taxation, Financial planning & Analysis, Shared Services, Subsidy and specific SBU finance. The role will in-charge of all corporate controls, compliances and driving IT and automation initiatives across the function.
Key Responsibilities :
Strategic :- Lead Corporate Finance operations and provide strong support to the company in achieving its financial objectives
- Provide leadership and guidance to specific SBU finance operations.
- Provide insights through Industry inputs & competition benchmarking
- Oversee treasury & risk management practices, establish best in class Treasury operations
- Evaluate and suggest tax planning opportunities for current operations and future expansion plans of the company.
- Drive end to end process excellence through Shared Service Centre
- Work with IT on Finance IT architecture and drive digital adoption
- Support the CFO on working through Enterprise Risk Management Strategy for the company & prepare regular business risk assessments
Operational :- Ensure timely, best in class financial reporting considering the listed company requirements. Ensure clean Audit report.
- Develop, modify and maintain the operational and design effectiveness of internal controls within the shared service function.
- Ensure timely tax and treasury compliances and right deployment of funds
- Take a lead role in the annual planning, quarterly forecasting exercise for the company. Support in presentations of Management, Board and Committee meeting
- Provide monthly / quarterly high qualitative MIS for management review and analysis
- Monitor and drive working capital improvements
- Ensure smooth and effective functioning of shared services.
- Ensure IFC and ITGC controls in place
Financial :- Ensure accurate and timely reporting of financial matters.
- Closely work with the accounting team on compliance to accounting standards and guidelines.
- Support in achieving company's financial targets
Candidate :- Qualified CA
- 20 - 25 years' experience with at least 10 years of experience in controllership, financial closure, MIS, treasury and tax functions.
- Experience in leading a large team
- Experience in manufacturing industry with multiple locations. Candidate with MNC background preferred
Skills :
- Financial Accounting and reporting knowledge
- Treasury / Tax related matters
- Management reporting
- Knowledge of ERP -SAP system
- IFC , INDAS, ICDS
Competencies :- Strong financial, accounting and controls orientation
- Business acumen
- Ability to define, simplify, standardize processes and implement best practices
- Proactive thinking and ability to work with multiple stakeholders
- Excellent presentation and communication skills
Leadership Skills :- Well organized, highly system and process oriented approach
- Good business partner with customer orientation.
- Self-starter who can manage a range of competing priorities and projects.
- Ability to question status quo and bring in best in class practices.
- Ability to inspire and rally team around business objectives and excellence