ROLES & RESPONSIBILITIES:
Key Responsibilities
- Financial Planning: Develop annual budgets, forecasts, and long-term financial models aligned with solar project and corporate objectives.
- Treasury Management: Manage cash flow, working capital, and liquidity to ensure timely availability of funds for operations and projects.
- Fundraising: Support debt/equity financing initiatives, liaise with banks, financial institutions, and investors for project funding.
- Risk Management: Identify and mitigate financial risks related to interest rates, foreign exchange, and project financing.
- Compliance: Ensure adherence to statutory requirements, tax regulations, and corporate governance standards.
- Reporting: Prepare MIS, dashboards, and financial reports for management and stakeholders.
- Cost Optimization: Drive efficiency in capital allocation and treasury operations to reduce financial costs.
- Cross-functional Collaboration: Work closely with SCM, Projects, and HR to align financial planning with operational needs.
Required Qualifications
- CA qualified
- 1 to 2 years of experience in Financial Planning and Treasury Management, preferably in solar/renewable energy or infrastructure projects.
- Strong knowledge of Corporate Finance, capital markets, and statutory compliance.
Pay: ₹1,000,000.00 - ₹1,200,000.00 per year
Work Location: In person