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HomeCompaniesRandstadFinance Manager - Banking - Temp
R
RandstadACTIVELY HIRING

Finance Manager - Banking - Temp

Bawal
Not Disclosed
5 to 9 Yrs
Full time
4/7/2026
Salary Range
Not Disclosed
Experience
5 to 9 Yrs
Job Location
Bawal
Remote Work Policy
Not specified
Visa Sponsorship
Not specified
Relocation
Not specified
Skills
Financial ReportingBudgetingAsset ManagementInternal ControlsAudit ManagementTreasury ManagementFinancial AnalysisBankingTaxationPayroll ManagementCosting AnalysisFinancial Improvement Projects
Industry
BFSI
Hiring Status
ACTIVELY HIRING
Hiring Contact
R
Randstad
Recruiter

Job Description

Key Responsibilities

- Ensure that assets and working capital are well under control - Improve internal control procedures and manage financial improvement projects - Successfully manage annual audits and annual consolidations - Plan for financial resources on a short-term and long-term basis considering the overall business plan at the organization level - Manage all activities related to treasury and banking, including negotiating with financial institutions and arranging term loans - Provide financial and account administration advice, guidance, and support to Business Unit/Area/Country Heads - Manage accounting activities related to general accounting, payroll, financial analysis, banking, credit collection, taxes, treasury, insurance, and cash/fund flows - Prepare and submit information reports such as periodic fund flow reports, expenses statements, billing details, recovery statements, etc., to the Managing Director to support decision-making - Coordinate with subsidiaries, branches, and offices at different locations including overseas on finance and accounting matters and effective office management - Prepare financial statements like balance sheets, profit and loss accounts at the end of half-year/financial year and declare these accounts after statutory audit clearance - Prepare financial budgets as per the Managing Director's direction and manage the future growth of the organization according to the vision - Prepare detailed project reports involving capital investment to set up new projects and check viability

Qualifications Required

- Bachelor's degree in Finance, Accounting, or related field - Professional certification such as CPA, CFA, or equivalent preferred - Minimum of 5 years of experience in a similar role in a reputable organization - Strong knowledge of financial regulations, reporting standards, and tax laws - Excellent analytical and problem-solving skills - Ability to communicate effectively with stakeholders at all levels No additional details of the company are provided in the job description. As a Financial Controller, your role involves overseeing the company's financial reporting to ensure compliance with statutory and non-statutory regulations and tax requirements. You will be responsible for setting up the budget process, preparing the annual budget, and ensuring budget control. In addition, your duties will include in-depth analytics of costing, identifying potential savings, investigating gaps, and bringing issues to the management's attention.

Key Responsibilities

- Ensure that assets and working capital are well under control - Improve internal control procedures and manage financial improvement projects - Successfully manage annual audits and annual consolidations - Plan for financial resources on a short-term and long-term basis considering the overall business plan at the organization level - Manage all activities related to treasury and banking, including negotiating with financial institutions and arranging term loans - Provide financial and account administration advice, guidance, and support to Business Unit/Area/Country Heads - Manage accounting activities related to general accounting, payroll, financial analysis, banking, credit collection, taxes, treasury, insurance, and cash/fund flows - Prepare and submit information reports such as periodic fund flow reports, expenses statements, billing details, recovery statements, etc., to the Managing Director to support decision-making - Coordinate with subsidiaries, branches, and offices at different locations including overseas on finance and accounting matters and effective office management - Prepare financial statements like balance sheets, profit and loss accounts at the end of half-year/financial year and declare these accounts after statutory audit clearance - Prepare financial budgets as per the Managing Director's direction and manage the future growth of the organization according to the vision - Prepare detailed project reports involving capital investment to set up new projects and check viability

Qualifications Required

- Bachelor's degree in Finance, Accounting, or related field - Professional certification such as CPA, CFA, or equivalent preferred - Minimum of 5 years of experience in a similar role in a reputable organization - Strong knowledge of financial regulations, reporting standards, and tax laws - Excellent analytical and problem-solving skills - Ability to communicate effectively with stakeholders at all levels No additio