Position - Finance ManagerEducational Qualification - CA, CA InterLocation - BengaluruExperience - 8 to 10 Years
Bullsmart is a fin-tech company that uses technology to help young people start investing. We provide equal investment service opportunities for investors who have started on their investments path. We share cutting-edge financial tech tools, brilliant investment ideas, and wealth growth opportunities with young investors.
We provide equal investment service opportunities to beginners who can enjoy all our premier investment services.
We offer abundant investment tools to guide investors to discover investment opportunities and making the decision right decision.
Financial Planning and Analysis: Developing and implementing financial plans, budgets, and forecasts to ensure effective resource allocation and financial stability. Conducting financial analysis, performance monitoring, and providing insights and recommendations to support strategic decision-making.
Financial Reporting: Overseeing the preparation of financial statements, including balance sheets, income statements, and cash flow statements. Ensuring compliance with accounting standards and regulatory requirements. Providing accurate and timely financial reports to management, stakeholders, and regulatory authorities.
Risk Management: Identifying and assessing financial risks and implementing risk management strategies. Monitoring and managing liquidity, credit, market, and operational risks. Developing and implementing internal controls to safeguard assets and mitigate risks.
Budgeting and Cost Control: Managing the budgeting process, including the development, monitoring, and control of budgets. Analyzing variances between actual and budgeted results, investigating causes, and implementing corrective actions. Controlling costs and optimizing expenses to achieve financial targets.
Cash Flow Management: Monitoring and managing cash flow to ensure adequate liquidity for the organization's operations. Managing working capital, optimizing cash conversion cycles, and forecasting cash flow requirements. Implementing strategies to improve cash flow, such as cash flow forecasting, credit management, and supplier payment terms.
Financial Operations: Overseeing financial operations, including accounts payable, accounts receivable, and payroll functions. Ensuring accurate and timely processing of financial transactions, adherence to financial policies and procedures, and compliance with tax regulations.
Financial Strategy and Investment Analysis: Providing financial insights and analysis to support strategic decision-making and investment opportunities. Conducting financial feasibility studies, financial modeling, and investment analysis to evaluate potential projects or initiatives. Assisting in mergers and acquisitions, business valuations, and due diligence activities.
Stakeholder Management: Collaborating with internal stakeholders such as senior management, department heads, and cross-functional teams to provide financial guidance and support. Building relationships with external stakeholders, including auditors, banks, investors, and regulatory authorities.
Compliance and Audit: Ensuring compliance with financial regulations, accounting standards, and tax laws. Coordinating and supporting internal and external audits. Implementing and monitoring internal controls to safeguard financial assets and maintain data integrity.
Team Leadership and Development: Leading and managing the finance team, providing guidance, coaching, and support. Developing the team's skills and capabilities through training and professional development. Promoting a culture of accountability, integrity, and continuous improvement within the finance function.
Skills: Financial Analysis, Financial Reporting, Taxation
Experience: 8.00-10.00 Years