Key Leadership & Strategy
- Define and execute the companys financial strategy aligned with business growth objectives.
- Lead annual budgeting, forecasting, and long-term financial planning.
- Provide actionable financial insights to support CEO and Board decision-making.
Financial Control & Operations
Oversee accounting, taxation, audits, and statutory reporting.Strengthen internal controls and ensure robust MIS and financial governance.Implement systems for cash flow, cost management, and profitability tracking.Treasury & Capital Management
Manage liquidity, treasury operations, and working capital effectively.Support fundraising efforts including debt, equity, co-lending, and securitization.Ensure optimal capital utilization and maintain a healthy balance sheet.Risk, Compliance & Audit
Ensure strict adherence to RBI and NBFC regulatory requirements.Drive comprehensive risk management frameworks for credit, operational, and financial risks.Lead internal and external audits, ensuring timely closure of observations.Stakeholder & Investor Engagement
Build and maintain relationships with banks, rating agencies, auditors, and regulators.Present accurate, timely financial performance reports to the Board and investors.Support investor relations and due diligence during Chartered Accountant (CA) with 8+ years of post-qualification experience.Strong background in NBFC / BFSI sector; MSME lending experience preferred.Proven expertise in financial planning, compliance, treasury, and risk management.Experience in debt / equity fundraising and senior stakeholder management.Demonstrated ability to lead finance teams and establish strong financial governance.Preferred Attributes
Prior experience in high-growth NBFC or fintech lending environments.In-depth knowledge of RBI regulatory frameworks and audit practices.Analytical mindset with excellent communication and presentation skills.Entrepreneurial approach with adaptability to fast-paced, dynamic environments.(ref : iimjobs.com)