Chief Financial Officer
Posted 15 days ago
Job Viewed
Job Description
Position Overview
We are seeking a strategic, execution-driven Chief Financial Officer (CFO) to lead the financial operations of Soloes across all verticals and geographies. This leadership role includes overseeing fundraising, financial governance, investor management and the company’s overall fiscal health.
The CFO will serve as a key advisor to the Founder and play a central role in shaping the company's long-term financial roadmap.
Key Responsibilities
Financial Strategy & Leadership
- Lead end-to-end financial planning, budgeting, forecasting and long-term business modeling for all business units (EPC, Manufacturing, IPP, SPVs).
- Analyze business performance and develop strategic financial insights for growth, profitability and capital efficiency.
Balance Sheet, P&L and Treasury Management
- Oversee group-level consolidation of financial statements across Indian and international subsidiaries.
- Ensure timely and accurate preparation of P&L, balance sheet and cash flow reports on a monthly, quarterly and annual basis.
- Optimize capital allocation, working capital management and leverage ratios.
Fundraising & Capital Structuring
- Lead fundraising activities for equity, debt and hybrid instruments across projects and operating companies.
- Structure project-level and corporate-level capital stacks in alignment with company goals and risk appetite.
- Build and maintain strong relationships with NBFCs, banks, infrastructure funds and development finance institutions.
Investor Relations & Reporting
- Serve as the primary point of contact for existing and prospective investors, both domestic and international.
- Prepare investor updates, quarterly performance reports and participate in capital raise discussions, due diligence, and board reviews.
- Ensure transparency, timely communication and strategic alignment with investor expectations.
- Develop and present financial dashboards, IR decks and long-term return models.
Project Finance & Monitoring
- Design and maintain detailed project SPV financial models, tracking metrics such as IRR, DSCR, NPV and payback across lifecycle stages.
- Monitor project cash flow waterfalls, lender obligations and capital recovery schedules.
Regulatory Compliance & Governance
- Ensure full statutory, tax, FEMA, GST, ROC and international regulatory compliance across all jurisdictions.
- Oversee statutory, internal and tax audits. Strengthen internal controls and implement financial SOPs.
Team Leadership
- Build, lead and mentor a high-performing finance team across Indian HQ and international units.
- Collaborate cross-functionally with EPC, manufacturing, strategy, legal, operations and HR teams to ensure aligned execution.
Key Performance Indicators (KPIs)
- Timely and successful fundraising across debt/equity
- Healthy DSCR, IRR and project-level return monitoring
- EBITDA and PAT growth across verticals
- Investor satisfaction and timely delivery of reporting
- Timely completion of audits and regulatory filings
- Strong working capital and treasury performance
Chief Financial Officer
Posted 1 day ago
Job Viewed
Job Description
Position Overview
We are seeking a strategic, execution-driven Chief Financial Officer (CFO) to lead the financial operations of Soloes across all verticals and geographies. This leadership role includes overseeing fundraising, financial governance, investor management and the company’s overall fiscal health.
The CFO will serve as a key advisor to the Founder and play a central role in shaping the company's long-term financial roadmap.
Key Responsibilities
Financial Strategy & Leadership
- Lead end-to-end financial planning, budgeting, forecasting and long-term business modeling for all business units (EPC, Manufacturing, IPP, SPVs).
- Analyze business performance and develop strategic financial insights for growth, profitability and capital efficiency.
Balance Sheet, P&L and Treasury Management
- Oversee group-level consolidation of financial statements across Indian and international subsidiaries.
- Ensure timely and accurate preparation of P&L, balance sheet and cash flow reports on a monthly, quarterly and annual basis.
- Optimize capital allocation, working capital management and leverage ratios.
Fundraising & Capital Structuring
- Lead fundraising activities for equity, debt and hybrid instruments across projects and operating companies.
- Structure project-level and corporate-level capital stacks in alignment with company goals and risk appetite.
- Build and maintain strong relationships with NBFCs, banks, infrastructure funds and development finance institutions.
Investor Relations & Reporting
- Serve as the primary point of contact for existing and prospective investors, both domestic and international.
- Prepare investor updates, quarterly performance reports and participate in capital raise discussions, due diligence, and board reviews.
- Ensure transparency, timely communication and strategic alignment with investor expectations.
- Develop and present financial dashboards, IR decks and long-term return models.
Project Finance & Monitoring
- Design and maintain detailed project SPV financial models, tracking metrics such as IRR, DSCR, NPV and payback across lifecycle stages.
- Monitor project cash flow waterfalls, lender obligations and capital recovery schedules.
Regulatory Compliance & Governance
- Ensure full statutory, tax, FEMA, GST, ROC and international regulatory compliance across all jurisdictions.
- Oversee statutory, internal and tax audits. Strengthen internal controls and implement financial SOPs.
Team Leadership
- Build, lead and mentor a high-performing finance team across Indian HQ and international units.
- Collaborate cross-functionally with EPC, manufacturing, strategy, legal, operations and HR teams to ensure aligned execution.
Key Performance Indicators (KPIs)
- Timely and successful fundraising across debt/equity
- Healthy DSCR, IRR and project-level return monitoring
- EBITDA and PAT growth across verticals
- Investor satisfaction and timely delivery of reporting
- Timely completion of audits and regulatory filings
- Strong working capital and treasury performance
Chief Financial Officer
Posted today
Job Viewed
Job Description
Position Overview
We are seeking a strategic, execution-driven Chief Financial Officer (CFO) to lead the financial operations of Soloes across all verticals and geographies. This leadership role includes overseeing fundraising, financial governance, investor management and the company’s overall fiscal health.
The CFO will serve as a key advisor to the Founder and play a central role in shaping the company's long-term financial roadmap.
Key Responsibilities
Financial Strategy & Leadership
- Lead end-to-end financial planning, budgeting, forecasting and long-term business modeling for all business units (EPC, Manufacturing, IPP, SPVs).
- Analyze business performance and develop strategic financial insights for growth, profitability and capital efficiency.
Balance Sheet, P&L and Treasury Management
- Oversee group-level consolidation of financial statements across Indian and international subsidiaries.
- Ensure timely and accurate preparation of P&L, balance sheet and cash flow reports on a monthly, quarterly and annual basis.
- Optimize capital allocation, working capital management and leverage ratios.
Fundraising & Capital Structuring
- Lead fundraising activities for equity, debt and hybrid instruments across projects and operating companies.
- Structure project-level and corporate-level capital stacks in alignment with company goals and risk appetite.
- Build and maintain strong relationships with NBFCs, banks, infrastructure funds and development finance institutions.
Investor Relations & Reporting
- Serve as the primary point of contact for existing and prospective investors, both domestic and international.
- Prepare investor updates, quarterly performance reports and participate in capital raise discussions, due diligence, and board reviews.
- Ensure transparency, timely communication and strategic alignment with investor expectations.
- Develop and present financial dashboards, IR decks and long-term return models.
Project Finance & Monitoring
- Design and maintain detailed project SPV financial models, tracking metrics such as IRR, DSCR, NPV and payback across lifecycle stages.
- Monitor project cash flow waterfalls, lender obligations and capital recovery schedules.
Regulatory Compliance & Governance
- Ensure full statutory, tax, FEMA, GST, ROC and international regulatory compliance across all jurisdictions.
- Oversee statutory, internal and tax audits. Strengthen internal controls and implement financial SOPs.
Team Leadership
- Build, lead and mentor a high-performing finance team across Indian HQ and international units.
- Collaborate cross-functionally with EPC, manufacturing, strategy, legal, operations and HR teams to ensure aligned execution.
Key Performance Indicators (KPIs)
- Timely and successful fundraising across debt/equity
- Healthy DSCR, IRR and project-level return monitoring
- EBITDA and PAT growth across verticals
- Investor satisfaction and timely delivery of reporting
- Timely completion of audits and regulatory filings
- Strong working capital and treasury performance
Chief Financial Officer
Posted today
Job Viewed
Job Description
About Our Client
The company is a well-established organisation in the metal industry. It operates as a mid-sized business, focusing on delivering high-quality products and maintaining a strong market presence in Ahmedabad.
Job Description
The Successful Applicant
A successful Chief Financial Officer (CFO) should have:
Chief Financial Officer
Posted 15 days ago
Job Viewed
Job Description
Position Overview
We are seeking a strategic, execution-driven Chief Financial Officer (CFO) to lead the financial operations of Soloes across all verticals and geographies. This leadership role includes overseeing fundraising, financial governance, investor management and the company’s overall fiscal health.
The CFO will serve as a key advisor to the Founder and play a central role in shaping the company's long-term financial roadmap.
Key Responsibilities
Financial Strategy & Leadership
- Lead end-to-end financial planning, budgeting, forecasting and long-term business modeling for all business units (EPC, Manufacturing, IPP, SPVs).
- Analyze business performance and develop strategic financial insights for growth, profitability and capital efficiency.
Balance Sheet, P&L and Treasury Management
- Oversee group-level consolidation of financial statements across Indian and international subsidiaries.
- Ensure timely and accurate preparation of P&L, balance sheet and cash flow reports on a monthly, quarterly and annual basis.
- Optimize capital allocation, working capital management and leverage ratios.
Fundraising & Capital Structuring
- Lead fundraising activities for equity, debt and hybrid instruments across projects and operating companies.
- Structure project-level and corporate-level capital stacks in alignment with company goals and risk appetite.
- Build and maintain strong relationships with NBFCs, banks, infrastructure funds and development finance institutions.
Investor Relations & Reporting
- Serve as the primary point of contact for existing and prospective investors, both domestic and international.
- Prepare investor updates, quarterly performance reports and participate in capital raise discussions, due diligence, and board reviews.
- Ensure transparency, timely communication and strategic alignment with investor expectations.
- Develop and present financial dashboards, IR decks and long-term return models.
Project Finance & Monitoring
- Design and maintain detailed project SPV financial models, tracking metrics such as IRR, DSCR, NPV and payback across lifecycle stages.
- Monitor project cash flow waterfalls, lender obligations and capital recovery schedules.
Regulatory Compliance & Governance
- Ensure full statutory, tax, FEMA, GST, ROC and international regulatory compliance across all jurisdictions.
- Oversee statutory, internal and tax audits. Strengthen internal controls and implement financial SOPs.
Team Leadership
- Build, lead and mentor a high-performing finance team across Indian HQ and international units.
- Collaborate cross-functionally with EPC, manufacturing, strategy, legal, operations and HR teams to ensure aligned execution.
Key Performance Indicators (KPIs)
- Timely and successful fundraising across debt/equity
- Healthy DSCR, IRR and project-level return monitoring
- EBITDA and PAT growth across verticals
- Investor satisfaction and timely delivery of reporting
- Timely completion of audits and regulatory filings
- Strong working capital and treasury performance
Chief Financial Officer
Posted today
Job Viewed
Job Description
Position Overview
We are seeking a strategic, execution-driven Chief Financial Officer (CFO) to lead the financial operations of Soloes across all verticals and geographies. This leadership role includes overseeing fundraising, financial governance, investor management and the company’s overall fiscal health.
The CFO will serve as a key advisor to the Founder and play a central role in shaping the company's long-term financial roadmap.
Key Responsibilities
Financial Strategy & Leadership
- Lead end-to-end financial planning, budgeting, forecasting and long-term business modeling for all business units (EPC, Manufacturing, IPP, SPVs).
- Analyze business performance and develop strategic financial insights for growth, profitability and capital efficiency.
Balance Sheet, P&L and Treasury Management
- Oversee group-level consolidation of financial statements across Indian and international subsidiaries.
- Ensure timely and accurate preparation of P&L, balance sheet and cash flow reports on a monthly, quarterly and annual basis.
- Optimize capital allocation, working capital management and leverage ratios.
Fundraising & Capital Structuring
- Lead fundraising activities for equity, debt and hybrid instruments across projects and operating companies.
- Structure project-level and corporate-level capital stacks in alignment with company goals and risk appetite.
- Build and maintain strong relationships with NBFCs, banks, infrastructure funds and development finance institutions.
Investor Relations & Reporting
- Serve as the primary point of contact for existing and prospective investors, both domestic and international.
- Prepare investor updates, quarterly performance reports and participate in capital raise discussions, due diligence, and board reviews.
- Ensure transparency, timely communication and strategic alignment with investor expectations.
- Develop and present financial dashboards, IR decks and long-term return models.
Project Finance & Monitoring
- Design and maintain detailed project SPV financial models, tracking metrics such as IRR, DSCR, NPV and payback across lifecycle stages.
- Monitor project cash flow waterfalls, lender obligations and capital recovery schedules.
Regulatory Compliance & Governance
- Ensure full statutory, tax, FEMA, GST, ROC and international regulatory compliance across all jurisdictions.
- Oversee statutory, internal and tax audits. Strengthen internal controls and implement financial SOPs.
Team Leadership
- Build, lead and mentor a high-performing finance team across Indian HQ and international units.
- Collaborate cross-functionally with EPC, manufacturing, strategy, legal, operations and HR teams to ensure aligned execution.
Key Performance Indicators (KPIs)
- Timely and successful fundraising across debt/equity
- Healthy DSCR, IRR and project-level return monitoring
- EBITDA and PAT growth across verticals
- Investor satisfaction and timely delivery of reporting
- Timely completion of audits and regulatory filings
- Strong working capital and treasury performance
Chief Financial Officer
Posted today
Job Viewed
Job Description
- Create and present financial and tax strategy recommendations to CEO
- Support the financial planning and analysis efforts
- Oversee cash flow, cash management, working capital, and company audits
- Prepare financial statements and reports
- Ensure legal compliance on all financial functions
- Manage relationships with banks
Controller: Controllers run day-to-day accounting and financial operations and often hold a CPA or MBA. They are responsible for creating reports that provide insights into a company's financial standing, including accounts receivable, accounts payable, inventory and payroll.
Treasury: The treasurer is responsible for the company's liquidity, debt and assets. That includes any investments the company may have, whether physical assets, such as buildings and equipment, or financial investments.
Strategy & forecasting: Strategy and forecasting involves using available data and reports, both internal and external, to advise on areas including product development, market expansion, human capital management, M&A and capital investments. It’s also where structured planning and forecasting exercises, like scenario planning and FP&A, fall.
- Controllers, treasurers and FP&A analysts are invaluable members of the team, but in all these areas, the buck stops at the CFO’s desk.
**Qualifications**:
- Strong finance-based analytical skills
- 7 - 10 years' of finance experience
- CPA or MBA/BBA IN FINANCE preferred
- CA _ CA INTER
**Job Types**: Full-time, Regular / Permanent
**Salary**: ₹90,000.00 - ₹120,000.00 per month
Schedule:
- Day shift
Supplemental pay types:
- Performance bonus
- Yearly bonus
Ability to commute/relocate:
- Ahmedabad, Gujarat: Reliably commute or planning to relocate before starting work (required)
**Experience**:
- total work: 7 years (preferred)
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Chief Financial Officer
Posted today
Job Viewed
Job Description
Financial Strategy and Planning: Extensive expertise in crafting and executing financial strategies to guide organizations toward sustainable growth.
Financial Reporting and Analysis: Proficient in financial reporting, analysis, and interpreting data to inform strategic decisions.
Legal Oversight, Including Property Matters: Seasoned in legal matters related to property, ensuring compliance and protection of assets.
Taxation: Adept at tax planning and compliance, optimizing financial outcomes while adhering to legal obligations.
Capital Management and Funding: Proven ability to manage capital efficiently and secure funding for business initiatives.
System and Procedures with Integration of Technology: Skilled in implementing systems and procedures with the integration of technology to streamline operations.
Maximization of Profitability: Focused on enhancing profitability through strategic financial management.
Stakeholder Management: Proficient in building and maintaining positive relationships with stakeholders, including government officials.
Risk Management: Experienced in identifying and mitigating financial risks to safeguard organizational interests.
Strategic Decision Support: Strong capability to provide strategic decision support through data-driven insights.
Treasury and Cash Management: Expertise in efficient treasury and cash management practices.
Compliance and Controls: A commitment to ensuring legal and regulatory compliance through robust controls.
Tax Planning: Specialized knowledge in tax planning to optimize financial outcomes.
Relationship Management: Skilled at fostering and nurturing relationships with key partners and stakeholders.
Academic Qualifications:
Chartered Accountant (CA)
Additional qualifications in company secretaryship or law (an advantage)
**Skills**:Financial Leadership: Demonstrated leadership in financial operations and strategy within complex organizations, driving financial performance and growth.
Strategic Turnaround of Stressed Assets: Proven ability to lead strategic turnarounds for financially stressed assets.
Liaising with Senior Government Officials: Proficient in establishing and maintaining effective relationships with senior government officials.
Valuation of Business Units: Expertise in valuing business units for informed decision-making.
Financial Systems and Technology: Proficient in leveraging financial systems and technology for operational efficiency.
Fund Management: Skilled in managing funds effectively to support organizational objectives.
Tax and Regulatory Compliance: Adept at navigating tax and regulatory compliance requirements.
Team Leadership: Strong leadership skills to lead and motivate teams.
Cost Management: Ability to effectively manage costs without compromising quality.
Change Management: Proficient in managing organizational change processes.
Legal and Compliance: Knowledgeable in legal and compliance matters related to finance and business operations.
Industry Knowledge: In-depth understanding of the automotive, manufacturing, and retail dealership industries.
Strategic Partnerships: Experience in forming strategic partnerships to drive business growth and success.
Pay: ₹3,500,000.00 - ₹4,000,000.00 per year
CFO
Posted today
Job Viewed
Job Description
Job Description:
The Finance Manager will be responsible for financial strategy, financial planning and analysis, financial reports, company audits, compliance, and bank relationships. Collaborating with the Management to make decisions regarding the company's financial strategy and operations.
Responsibilities:- Create and present financial and tax strategy recommendations to CEO li>Support the financial planning and analysis efforts
- Oversee cash flow, cash management, working capital, and company audits
- Prepare financial statements and reports
- Ensure legal compliance on all financial functions
- Manage relationships with banks
- Strong finance-based analytical skills
- 18 - 20 years of finance experience
- CA certification
Group Chief Financial Officer - Real Estate
Posted today
Job Viewed
Job Description
Financial Strategy & Leadership
• Develop and execute the group’s financial strategy aligned with business goals.
• Advise the CEO and Board on financial planning, capital allocation, and risk management.
• Monitor and analyse financial performance, industry trends, and economic conditions.
Accounts & Financial Management
• Oversee day-to-day accounting operations, ensuring accuracy and timely reporting.
• Establish and maintain robust financial controls and accounting systems.
• Ensure compliance with all statutory reporting requirements and accounting standards (e.g., IND-AS/IFRS).
Fundraising and Investor Relations
• Lead in fundraising efforts of the company, being equity and debt fundraising as per the group’s targets
• Manage existing investors relations, and lead team efforts to get on board new equity and debt investors
• Appear as company’s spokesperson with news, media, and investors calls and update on company performance and progress
Banking & Treasury Management
• Manage banking relationships, credit facilities, and loan negotiations.
• Optimize working capital and cash flow management.
• Ensure effective treasury operations, hedging strategies, and liquidity planning.
Audit & Compliance
• Lead statutory, internal, and tax audits, ensuring zero non-compliance.
• Collaborate with internal and external auditors for process improvements.
• Establish and monitor internal control frameworks to safeguard assets and mitigate financial risks.
Taxation & Regulatory Compliance
• Ensure accurate and timely filing of direct and indirect taxes.
• Optimize tax strategies to minimize liabilities while remaining compliant.
• Keep abreast of changing tax laws and ensure adherence to regulatory requirements.
Investments & Capital Management
• Evaluate investment opportunities for ROI and strategic alignment.
• Manage portfolio investments, acquisitions, and divestitures.
• Develop long-term capital and funding strategies.
Team Leadership & Development
• Build, mentor, and lead high-performing finance and accounts teams.
• Promote a culture of financial discipline and operational excellence.
• Drive continuous improvement through training, automation, and process optimization.