Looking for someone with Offshore Fund Management, Fund Accounting & Operations skill sets. This person will be based in Dubai.
Fund Accounting, Fund Management, Operations Management,
Accounting
Experience Not Provided
Dubai - United Arab Emirates
Job Descriptions The Chief Financial Officer (CFO) is a leadership position, responsible for providing strategic financial leadership and overseeing the finance, legal and company secretarial functions within Simplilearn and group companies. This role plays a crucial role in helping the company achieve its strategic goal of being the largest global reskilling/upskilling company. Some of the immediate goals that this role has is getting the company back to profitability (till FY21 it was profitable and the last two years spent to accelerate growth), actively participate in M&A and fund raising activities and eventually prepare for an exit cycle via IPO or strategic investment. Key Responsibilities: 1. Aligning finance with company strategic goals ● Develop and implement the company's financial strategy in alignment with overall business objectives ● Provide financial analysis, forecasting, and modeling to support decision-making processes ● Develop and manage budgets, financial targets, and key performance indicators (KPIs) ● Identify and evaluate potential risks and opportunities to ensure the company's financial health 2. Financial Reporting and Compliance ● Oversee the preparation and presentation of accurate and timely financial statements, reports, and disclosures ● Ensure compliance with accounting standards, tax regulations, and other relevant financial laws ● Coordinate with external auditors and regulatory bodies for audits and reporting requirements ● Monitor and implement internal controls to safeguard company assets and prevent fraud 3. Oversee M&A and fund raises ○ Working closely with the management in identifying prospects that compliment company’s product or market presence ○ Actively participate in negotiations, deal closure as well as due diligence process and eventual integration of the acquired entities ○ Evaluate the funding need of the organization and look for ways to raise capital in partnership with CEO 3. Treasury and Cash Management: ● Manage the company's liquidity, cash flow, and working capital to support operations and investments ● Develop and execute effective capital allocation strategies, including debt and equity financing, mergers and acquisitions, and divestitures ● Optimize cash management practices, including investment strategies, foreign exchange risk management, and debt/equity mix 4. Legal and Compliance: ● Oversee the legal function and ensure compliance with applicable laws and regulations across India and USA. Prior experience in managing global business is required ● Provide guidance on legal matters, including contracts, intellectual property, litigation, and corporate governance ● Collaborate with external legal counsel when necessary and manage relationships with regulatory authorities 5. Company Secretarial Functions: ● Manage company secretarial functions, including board meetings, AGMs, and compliance with corporate governance requirements ● Ensure accurate and timely documentation of board minutes, resolutions, and filings with regulatory bodies ● Provide advice and support to the Board of Directors on corporate governance matters 6. Team Leadership and Development: ● Demonstrate leadership by taking initiatives and align peers ● Lead and mentor the legal, company secretarial, and finance teams, fostering a high-performance culture ● Set clear objectives, provide regular feedback, and support professional development opportunities ● Foster collaboration and effective communication across teams and departments Qualifications and Requirements: ● Bachelor’s Degree in Accounting, Finance or related field ● CA with 20+ years of experience in financial planning, budgeting, forecasting, & financial analysis is desirable. Global experience is a big plus. ● Proven track record of success as a CFO in a B2C/B2B industry ● Must have participated in Merger & Acquisition ● Must have managed fund raising plans & Investors relations ● Strong strategic thinking and analytical skills, with the ability to provide valuable insights for decision making ● Excellent leadership and people management skills, with a track record of building and developing high performing teams ● Strong business acumen and the ability to understand and contribute to the overall business strategy ● Effective communication and presentation skills, with the ability to convey complex financial information to the stakeholders ● Integrity, professionalism, and a commitment to ethical business practices
Manage Budgets, Financial Reporting, Fund Raising, Mergers & Acquisition, Financial Controlling, Internal Controls, Accounting, Cash Flow, Global Finance, Finance Controlling
Financial Accounting
Experience Not Provided
Bengaluru, Karnataka, India
Develop and implement engagement strategies and loyalty programs targeted at mutual fund distributors, family offices, and wealth counters. This a national role Collaborate with the sales team (PAN India, NDs and Wealth counters) to identify key objectives and align engagement initiatives with business goals. Generate innovative engagement ideas to drive customer loyalty and improve business performance. Coordinate and execute engagement activities, events, and campaigns in collaboration with internal and external stakeholders. Collaborate with the technology and analytics team to build a measurement dashboard for tracking the business impact and effectiveness of engagement programs. Analyze data and generate reports on a regular basis to evaluate the success and impact of engagement initiatives. Present findings and recommendations to various stakeholders, including senior management, sales teams, and clients. Stay updated on industry trends and best practices in engagement and loyalty programs to drive continuous improvement. Establish strong relationships with mutual fund distributors, family offices, and wealth counters to enhance engagement and loyalty.
Mutual Fund, Business Goals, Analyze Data, Generate Reports,
Other
Experience Not Provided
Mumbai, Maharashtra, India
Entity Centrum Wealth External Title Equity Advisor Educational Qualification MBA/CA/CFA Job location Centrum House, Mumbai (Kalina) Key Responsibility Areas (indicative) Manage portfolios of UHNI/Corporate clients on Equity Advisory /NDPMS Platform Conduct fundamental research on companies covered & use those in client portfolios as per their profile Support the desk & RMs in the acquisition & management of new direct equity assets Quality Advice on client portfolios under management and restructuring for existing & new ones Regular reviews & realignment in line with the desk thought process Process improvement & innovation for the desk Pre Requisites Passionate about equity markets, long term orientation & understanding of fundamental research, prior experience of research/advisory/fund management/equity counselling, team player to the core
Manage Portfolios, Fund Management, equity advisory, stock selection, Client meetings,
Financial Advisory
Expert (10+ Years)
Mumbai
Looking for avp - for New Age Tech/New Economy group. reporting to Sam Kamath. 2 open positions - 1 for Mumbai & 1 for Bangalore.
M&A, Private Equity, Fund Raising
Investment Banking
Experience Not Provided
Mumbai, Maharashtra, India,Bangalore, Karnataka, India
senior position of offshore fund operations. with 12 years plus of experience based in Singapore.
Operations Management,
Investment Banking
Experience Not Provided
The role reports to the CEO and would involve handling Investor relations minus fund raising.
Investor relations,
Financial Advisory
Experience Not Provided
Delhi, India
General Manager - Corporate Finance and Treasury Management Mumbai, Real Estate - Corporate Finance & Treasury - Corporate Finance & Treasury JOB DESCRIPTION Job Purpose - Corporate Finance is primarily focused on managing the financial resources and capital structure of the company to achieve its strategic objectives and enhance shareholder value. Treasury function will focus on managing the company's liquidity, cash flow, and financial assets to ensure financial stability and support operational needs. Educational Requirement and Work Experience • CA / Post-Graduate in Finance & Marketing. • Experience in handling banking relationship and management of treasury / corporate finance. • Strong verbal & written Communication skills. • 8 to 12 years of experience. • Fluency in English, both written and verbal. • Ability to reach high quality standards, attention to detail and respect deadlines. • Ability to work in an extremely fast paced environment which quick turnaround. • Managing multiple hats at the same time and ability to understand project details logically. Ability to interact and develop relationships with external interface and lenders through calls, physical interactions and day to day operations. • • Ability to work collaboratively across different functions in the organization. Key Responsibilities Ability to understand projects, develop information memorandum, interact with internal stakeholders for understand numbers, structure and requirement. • Also, ability to development IM and convince bankers, NBFCs, fund managers, AIFs to invest in project in form of structured debt, vanilla debt or strategic debt structures. • Ability to structure debt in manner to solve for complex internal requirements yet ensure adherence to compliance, credit requirement, regulations in the external interface. • Ability to understand treasury mind-set and make optimum use of equity capital deployment versus debt inflows or client inflows. • Plan fund utilization in such a manner to keep all stakeholders fully engaged and satisfied with the performance in line with their expectations. Ability to turn around documentation closure with banks, Legal counsels, internal stakeholders, ability to take internal approvals including board, legal, compliance and fund. Fully integrate with construction, leasing, design, development teams along with asset management to be a key component of the asset creation process. • • Service oriented mind-set bringing value to the organization • Strong Financial acumen with excellent command over numbers, bank structuring and negotiation. As a part of WOLP team, you will have access to financial data and are expected to use your skills to analyze data and provide relevant insights. • In this role, you will get an opportunity to sharpen your financial & commercial understanding through interactions with the business stakeholders. • Develop and implement financial strategies, policies, and procedures to ensure effective financial management and compliance with regulations. • Control the key banking stakeholders, ensure perfect fund movement across drawdown from investors, plan and structure debt drawdowns in line with project schedule, and strategize with asset management and development team, to ensure seamless development of the project. • Ensure liaising with leasing and clientʼs team, compliance team, fund team to ensure execution of strategic objectives in line with fund policy. • Prepare and present accurate financial reports, information memorandum including profit and loss statements, balance sheets, cash flow statements, and variance analysis, to the senior management team and stakeholders. • Monitor and analyze financial performance, detailed structured financial modelling, identify areas of improvement, and provide recommendations for cost reduction and revenue enhancement. • Financing and capital raising activities and supporting management in day to day operations, managing lending relationships and support in daily operations and working on accounts & MIS reporting.
Finance, Corporate Finance, capital structure, Treasury Management, cash flow statements, compliance, financial reports, Real Estate, profit and loss, Financial acumen, financial modelling, financial data, financial management, leasing, balance sheets, MIS reporting, revenue enhancement, senior management, and compliance, develop relationships, operations managing, legal compliance, policies and procedures, asset management, lending, construction, Finance Marketing, development team, quick turnaround, deployment, sharpen, design development
Commercial Real Estate
Experience Not Provided
Mumbai, Maharashtra, India
We are seeking an experienced Chief Financial Officer (CFO) with over 20 years of financial leadership, fund-raising, IPO, and international funding experience. The ideal candidate will be a strategic financial leader who can drive our company's financial strategies, manage all financial functions, and lead fundraising efforts. As the CFO, you will play a crucial role in shaping the financial future of our organization. The Group CFO will in addition to Solar, oversee financial activities for the upcoming Agro business and the Personal Care Products business in the Middle East.
fundraising, financial functions, strategic financial, shaping,
Financial Accounting
Experience Not Provided
Gurugram, Haryana, India
Looking for a Senior Seasoned Coverage Banker for Advisory business, working closely with Ramnish - President, IB. Open for any sector exp. Should bring in strong Origination Skills.
End-to-End Fund Raise, Investment Advisory,
Startup Advisory Services
Experience Not Provided
Mumbai, Maharashtra, India