28 Team Management Services Jobs
Manager Finance Controller
Team Management Services
posted 7hr ago
Fixed timing
Key skills for the job
Designation: Manager - Finance Controller
Qualification: Bachelor s degree in accounting, finance or related field
Experience: 5-7 Years
Location: Vidyavihar, Mumbai
Job Summary:
We are seeking an experienced and dynamic Finance Controller to manage and oversee our financial operations. The ideal candidate will have a strong background in accounting, finance, and regulations with hands-on experience in cash flow management, receivables, payables, and working capital exposure and bank relations. The role demands a sharp analytical thinker with a problem-solving mindset and a strong business-first approach. Also, should have a strong background in accounting software, particularly Zoho books and Tally as well as, advance Excel and data analysis skills .Experience in import/export businesses, is a plus.
Roles and Responsibilities:
Manage cash flow, receivables and payables to ensure liquidity and optimal working capital. Regularly assess financial trends and implement strategies to minimize risks and support business growth.
Prepare and share reports on working capital exposure, financial performance and key business metrics. Maintain financial dashboards for senior management, enabling data-driven decision-making.
Drive bank and financier relations, negotiate favorable terms and lead efforts in executing debt and equity capital raising to support business objectives and funding needs.
Ensure compliance with financial regulations and maintain accurate records, implementing strong internal controls to safeguard financial accuracy and mitigate risks.
Provide analytical insights and problem-solving support to senior management, helping to align financial strategies with business goals and drive operational improvements.
Collaborate across departments to align financial goals with operational needs, contributing to cost management and overall business efficiency.
Utilize knowledge of import/export financial operations to manage global transactions, ensuring compliance with international payment processes, currency exchange, and regulatory requirements. Ensure smooth financial processes across borders.
Represent the company before statutory bodies, including responding to income tax inquiries and ensuring timely submission of all required documents. Maintain strong relationships with auditors and statutory departments to manage scrutiny and compliance issues effectively.
Suggest improvements in reporting quality, ensuring timely and accurate responses to senior management and recommending process enhancements to improve financial visibility.
Lead and coordinate all aspects of the annual audit process, including liaising with external auditors, preparing supporting documentation and addressing audit findings.
Ensure timely completion of the audit process and implementation of any agreed-upon corrective actions. Proactively identify and mitigate audit risks through continuous process improvement and enhanced internal controls.
Employment Type: Full Time, Permanent
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