ACAcme Services
Executive Financial planning and analysis
Mumbai ₹2-5 LPA Posted 18 Jul 2025
FULL TIME
Data Management
Accounting Standards
Cost Reduction
Forecasting
Budgeting
+1 more
Job Description
Responsibilities:
- Financial Reporting & Analysis: Prepare comprehensive financial reports, including detailed cash-flow statements, and other key financial documents for internal and external stakeholders.
- Profit Maximization & Cost Reduction: Collaborate effectively with other executives and department heads to identify opportunities for maximizing company profits and implementing strategies to decrease operational costs.
- Financial Trend Monitoring: Continuously monitor financial trends, market conditions, and economic indicators to provide proactive insights and inform strategic decision-making.
- Budgeting & Forecasting: Authorize and manage budgets across various departments, ensuring alignment with financial goals and overseeing the entire budgeting and forecasting process.
- Company Financial Monitoring: Diligently monitor the overall financial health of the company, tracking key financial metrics, performance indicators, and financial risks.
- Data Management: Perform accurate and timely data entry related to financial transactions and information into relevant systems.
- Financial Statement Oversight: Oversee the meticulous completion and review of all financial statements, ensuring accuracy, compliance, and adherence to reporting deadlines.
- SOP Documentation: Document and maintain detailed standard operating procedures (SOPs) for all financial planning and analysis processes, ensuring consistency and efficiency.
- Staff Supervision (if applicable): Supervise and coordinate the schedules of financial staff, providing guidance and support to ensure team productivity and high-quality output.
- Strategic Financial Health: Take a proactive role in overseeing the overall financial health and strategic direction of the organization, providing insights and recommendations to senior management.
Required Skills:
- Proven experience in writing financial reports and cash-flow statements.
- Strong ability to communicate effectively with other executives to achieve financial objectives (profit maximization, cost reduction).
- Expertise in monitoring financial trends and providing actionable insights.
- Experience in authorizing and managing budgets.
- Proficiency in monitoring company finances and performing accurate data entry.
- Capability to oversee the completion of financial statements.
- Experience in documenting standard operating procedures (SOPs).
- Strong analytical, problem-solving, and decision-making skills.
- Excellent communication and interpersonal skills.
- Understanding of financial principles, accounting standards, and regulatory compliance.