Finance Accounting Manager - Bengaluru, India - Tetra Holdings

    Tetra Holdings
    Tetra Holdings Bengaluru, India

    1 week ago

    Default job background
    Accounting / Finance
    Description

    About the job

    Tetra Investments is a multinational corporation with operations spanning India, GCC countries, and Egypt. Our diverse portfolio encompasses industries including Advertising, Marketing Communications, Event Organizing and Management, Real Estate, Interiors and Fitout, Furniture Manufacturing, and Information Technology. Committed to empowering customers and enriching lives, Tetra Investments prioritizes innovation, excellence, and customer satisfaction in all aspects of our business. With a vision to be a global leader, Tetra Investments aims to provide innovative solutions that empower individuals and organizations, while fostering a culture of integrity and continuous improvement

    Financial strategy for the Company.

     Business planning for the next growth phase, including diversification and public issues.

     Build and establish new systems/ financial structures and bring in variances to established systems based on the business growth planned.

     Anchor the financial aspects of organic and inorganic growth at Popees.

     Project planning for new and proposed projects.

     Work with the Board of Directors and Whole-time directors for key financial decision-making.

     Work with the Board for Mergers and acquisitions including financial due diligence for proposed mergers.

    Working Capital Management & Treasury

     Understand the company's funding requirements and spearhead capital-raising initiatives.

     Create and nurture relationships and negotiate terms with banks, and financial institutions for a smooth flow of funds & services.

    Financial and Budget Management

     Recommend benchmarks for measuring divisions' and departments' financial and operating performance.

     Manage the preparation of financial outlooks and financial forecasts.

     Direct financial audits and recommendations for procedural improvements.

     Monitor and analyze monthly operating results against budget.

     Review and evaluate all major investments from a business and financial perspective. This would include capital investments, acquisitions, and overall capital allocation.

     Timely development of Project Budgets.

     Cost audits.

    Management Reporting

     Provide timely and relevant financial analysis to the Board and Investors.

     Drive the preparation of the official annual report, and other management reports and ensure systems for the maintenance of key records.

     To devise and implement excellent MIS, monitor periodical utilization of funds, and suggest rigorous procedures for cost-cutting and timely execution of projects.

     Legal compliances

     Statutory Audits

     Liaison with internal and external auditors

     Liaison with government agencies for regulatory and import-related requirements

     Advising on good governance practices and compliance with Corporate Governance norms under various

    QUALIFICATIONS : Chartered Accountant with 3-5years of work experience in core finance

    CTC/ 8 LPA TO 12 LPA