What is the role about?
Role Description
This is a full-time on-site role for a Financial Controller, located in Bengaluru. The Financial Controller will oversee the preparation of financial statements, ensure compliance with financial reporting standards, and manage accounting processes. Key responsibilities include analyzing financial data, monitoring budgets, and supporting the organization in financial planning and strategy. The role involves collaboration with various teams to ensure financial accuracy and operational efficiency.
Budgeting & Forecasting
Lead the annual budgeting and planning process.
Monitor and analyze financial performance versus budget and forecasts.
Provide strategic insights and recommendations to management for cost optimization and revenue enhancement.
Compliance & Audit
Ensure compliance with statutory requirements including direct and indirect taxes, company law, and other regulatory frameworks.
Coordinate with internal and external auditors; ensure timely completion of audits.
Maintain robust internal controls and financial governance.
Cash Flow & Treasury Management
Manage cash flow planning, working capital, and liquidity requirements.
Optimize utilization of funds and banking facilities.
Oversee investments, debt management, and currency risk mitigation where applicable.
This is a full-time on-site role for a Financial Controller, located in Bengaluru. The Financial Controller will oversee the preparation of financial statements, ensure compliance with financial reporting standards, and manage accounting processes. Key responsibilities include analyzing financial data, monitoring budgets, and supporting the organization in financial planning and strategy. The role involves collaboration with various teams to ensure financial accuracy and operational efficiency.
Budgeting & Forecasting
Lead the annual budgeting and planning process.
Monitor and analyze financial performance versus budget and forecasts.
Provide strategic insights and recommendations to management for cost optimization and revenue enhancement.
Compliance & Audit
Ensure compliance with statutory requirements including direct and indirect taxes, company law, and other regulatory frameworks.
Coordinate with internal and external auditors; ensure timely completion of audits.
Maintain robust internal controls and financial governance.
Cash Flow & Treasury Management
Manage cash flow planning, working capital, and liquidity requirements.
Optimize utilization of funds and banking facilities.
Oversee investments, debt management, and currency risk mitigation where applicable.