329 Corporate Finance jobs in Bangalore
Corporate Finance
Posted 2 days ago
Job Viewed
Job Description
At Biocon Biologics, we are creating a model for the future of healthcare for all. We are a leading company in the biosimilars revolution where patients come first. Our ambition is to impact a billion lives and we do this by fostering a culture of affordable innovation, patient centricity and disruptive thinking. We are a multicultural global company where employees have a purpose and passion to work closely with partners and patients. We have proven end to end expertise in the field of biosimilars, from its development, manufacturing, clinical development, regulatory approvals to commercialization. We have a long-term commitment to bring high quality affordable biosimilars to patients all over the globe.
About Finance Function:
We believe in creating a team that is not only best in class and sets new benchmarks but more importantly understands that a TEAM mean Together Everyone Achieves More. At Biocon Biologics, Finance is one of the major pillars and an essential ingredient to a successful business
Key Responsibilities
- Financial Planning & Analysis: Lead budgeting, forecasting, and long-term financial planning processes.
- Business Partnering: Collaborate with key stakeholders across business functions to provide financial insights and recommendations.
- Variance Analysis: Conduct variance analysis on financial performance against budget/forecast and provide actionable insights.
- Financial Modeling: Develop and maintain financial models to support business planning and decision-making.
- Reporting & Dashboards: Prepare monthly/quarterly financial reports, dashboards, and presentations for senior leadership.
- Cost Management: Analyze costs, profitability, and business performance to optimize financial outcomes.
- Scenario Analysis: Evaluate various business scenarios and their financial impact, providing data-driven recommendations.
- Stakeholder Management: Work closely with senior executives, finance teams, and other departments to drive financial strategies.
- Process Improvement: Continuously enhance FP&A processes and financial reporting frameworks.
- Compliance & Risk Management: Ensure compliance with internal controls, financial policies, and external regulations
Education, Experience and Skill
- Experience 7+ Years
- Qualification – Chartered Accountant / MBA.
- Should be able to manage a team of 3-5
- Hands on experience with SAP will be an added advantage
- Ability to understand and effectively apply technical accounting guidance for Revenue and Capex accounting
- Excellent analytical skills
- Stakeholder management
- Proficient in MS Excel and PowerPoint
- Excellent Communication Skills (Written & Oral) and Networking skills
- Flexibility & open mind to look at dynamic and ever-changing business environment and needs
- Time management & ability to prioritize work / Multitasking
- Strong command over accounting
- Result oriented
Corporate Finance
Posted 2 days ago
Job Viewed
Job Description
About Finance Function:
We believe in creating a team that is not only best in class and sets new benchmarks but more importantly understands that a TEAM mean Together Everyone Achieves More. At Biocon Biologics, Finance is one of the major pillars and an essential ingredient to a successful business
Key Responsibilities
Financial Planning & Analysis: Lead budgeting, forecasting, and long-term financial planning processes.
Business Partnering: Collaborate with key stakeholders across business functions to provide financial insights and recommendations.
Variance Analysis: Conduct variance analysis on financial performance against budget/forecast and provide actionable insights.
Financial Modeling: Develop and maintain financial models to support business planning and decision-making.
Reporting & Dashboards: Prepare monthly/quarterly financial reports, dashboards, and presentations for senior leadership.
Cost Management: Analyze costs, profitability, and business performance to optimize financial outcomes.
Scenario Analysis: Evaluate various business scenarios and their financial impact, providing data-driven recommendations.
Stakeholder Management: Work closely with senior executives, finance teams, and other departments to drive financial strategies.
Process Improvement: Continuously enhance FP&A processes and financial reporting frameworks.
Compliance & Risk Management: Ensure compliance with internal controls, financial policies, and external regulations
Education, Experience and Skill
Experience 7+ Years
Qualification – Chartered Accountant / MBA.
Should be able to manage a team of 3-5
Hands on experience with SAP will be an added advantage
Ability to understand and effectively apply technical accounting guidance for Revenue and Capex accounting
Excellent analytical skills
Stakeholder management
Proficient in MS Excel and PowerPoint
Excellent Communication Skills (Written & Oral) and Networking skills
Flexibility & open mind to look at dynamic and ever-changing business environment and needs
Time management & ability to prioritize work / Multitasking
Strong command over accounting
Result oriented
Corporate Finance
Posted 7 days ago
Job Viewed
Job Description
At Biocon Biologics, we are creating a model for the future of healthcare for all. We are a leading company in the biosimilars revolution where patients come first. Our ambition is to impact a billion lives and we do this by fostering a culture of affordable innovation, patient centricity and disruptive thinking. We are a multicultural global company where employees have a purpose and passion to work closely with partners and patients. We have proven end to end expertise in the field of biosimilars, from its development, manufacturing, clinical development, regulatory approvals to commercialization. We have a long-term commitment to bring high quality affordable biosimilars to patients all over the globe.
About Finance Function:
We believe in creating a team that is not only best in class and sets new benchmarks but more importantly understands that a TEAM mean Together Everyone Achieves More. At Biocon Biologics, Finance is one of the major pillars and an essential ingredient to a successful business
Key Responsibilities
- Financial Planning & Analysis: Lead budgeting, forecasting, and long-term financial planning processes.
- Business Partnering: Collaborate with key stakeholders across business functions to provide financial insights and recommendations.
- Variance Analysis: Conduct variance analysis on financial performance against budget/forecast and provide actionable insights.
- Financial Modeling: Develop and maintain financial models to support business planning and decision-making.
- Reporting & Dashboards: Prepare monthly/quarterly financial reports, dashboards, and presentations for senior leadership.
- Cost Management: Analyze costs, profitability, and business performance to optimize financial outcomes.
- Scenario Analysis: Evaluate various business scenarios and their financial impact, providing data-driven recommendations.
- Stakeholder Management: Work closely with senior executives, finance teams, and other departments to drive financial strategies.
- Process Improvement: Continuously enhance FP&A processes and financial reporting frameworks.
- Compliance & Risk Management: Ensure compliance with internal controls, financial policies, and external regulations
Education, Experience and Skill
- Experience 7+ Years
- Qualification – Chartered Accountant / MBA.
- Should be able to manage a team of 3-5
- Hands on experience with SAP will be an added advantage
- Ability to understand and effectively apply technical accounting guidance for Revenue and Capex accounting
- Excellent analytical skills
- Stakeholder management
- Proficient in MS Excel and PowerPoint
- Excellent Communication Skills (Written & Oral) and Networking skills
- Flexibility & open mind to look at dynamic and ever-changing business environment and needs
- Time management & ability to prioritize work / Multitasking
- Strong command over accounting
- Result oriented
Corporate Finance
Posted today
Job Viewed
Job Description
At Biocon Biologics, we are creating a model for the future of healthcare for all. We are a leading company in the biosimilars revolution where patients come first. Our ambition is to impact a billion lives and we do this by fostering a culture of affordable innovation, patient centricity and disruptive thinking. We are a multicultural global company where employees have a purpose and passion to work closely with partners and patients. We have proven end to end expertise in the field of biosimilars, from its development, manufacturing, clinical development, regulatory approvals to commercialization. We have a long-term commitment to bring high quality affordable biosimilars to patients all over the globe.
About Finance Function:
We believe in creating a team that is not only best in class and sets new benchmarks but more importantly understands that a TEAM mean Together Everyone Achieves More. At Biocon Biologics, Finance is one of the major pillars and an essential ingredient to a successful business
Key Responsibilities
- Financial Planning & Analysis: Lead budgeting, forecasting, and long-term financial planning processes.
- Business Partnering: Collaborate with key stakeholders across business functions to provide financial insights and recommendations.
- Variance Analysis: Conduct variance analysis on financial performance against budget/forecast and provide actionable insights.
- Financial Modeling: Develop and maintain financial models to support business planning and decision-making.
- Reporting & Dashboards: Prepare monthly/quarterly financial reports, dashboards, and presentations for senior leadership.
- Cost Management: Analyze costs, profitability, and business performance to optimize financial outcomes.
- Scenario Analysis: Evaluate various business scenarios and their financial impact, providing data-driven recommendations.
- Stakeholder Management: Work closely with senior executives, finance teams, and other departments to drive financial strategies.
- Process Improvement: Continuously enhance FP&A processes and financial reporting frameworks.
- Compliance & Risk Management: Ensure compliance with internal controls, financial policies, and external regulations
Education, Experience and Skill
- Experience 7+ Years
- Qualification – Chartered Accountant / MBA.
- Should be able to manage a team of 3-5
- Hands on experience with SAP will be an added advantage
- Ability to understand and effectively apply technical accounting guidance for Revenue and Capex accounting
- Excellent analytical skills
- Stakeholder management
- Proficient in MS Excel and PowerPoint
- Excellent Communication Skills (Written & Oral) and Networking skills
- Flexibility & open mind to look at dynamic and ever-changing business environment and needs
- Time management & ability to prioritize work / Multitasking
- Strong command over accounting
- Result oriented
Corporate - Finance Role
Posted 1 day ago
Job Viewed
Job Description
Job summary
The Corporate Finance Role requires an experienced professional with 20 to 22 years of expertise in Portfolio and Project Management. The candidate will work in a hybrid model focusing on optimizing financial strategies and ensuring efficient portfolio management. This role is crucial for driving financial performance and aligning projects with corporate goals without the need for travel.
Responsibilities
- Lead the development and implementation of comprehensive portfolio management strategies to optimize financial performance.
- Oversee the alignment of project management processes with corporate financial objectives to ensure strategic goals are met.
- Provide expert guidance on portfolio management work models to enhance efficiency and effectiveness in a hybrid work environment.
- Collaborate with cross-functional teams to integrate portfolio management practices into broader business strategies.
- Analyze financial data to identify trends and opportunities for improving portfolio performance.
- Develop and maintain robust reporting systems to track portfolio progress and financial outcomes.
- Ensure compliance with financial regulations and corporate policies in all portfolio management activities.
- Drive continuous improvement initiatives to enhance portfolio management processes and outcomes.
- Facilitate effective communication and collaboration among project teams to ensure alignment with financial objectives.
- Monitor and evaluate the performance of portfolio management initiatives to ensure they meet desired outcomes.
- Implement risk management strategies to mitigate potential financial impacts on portfolio performance.
- Support the development of financial models and forecasts to inform strategic decision-making.
- Foster a culture of innovation and excellence in portfolio management practices. Qualifications
- Demonstrate extensive experience in Portfolio and Project Management with a proven track record of success.
- Possess strong analytical skills to interpret complex financial data and drive strategic decisions.
- Exhibit excellent communication and collaboration abilities to work effectively in a hybrid environment.
- Show proficiency in developing and implementing financial strategies aligned with corporate goals.
- Have a deep understanding of financial regulations and compliance requirements.
- Display a commitment to continuous improvement and innovation in portfolio management practices.
Corporate Finance Manager
Posted 1 day ago
Job Viewed
Job Description
Job Description
Job Description –Corporate Finance Manager
Job Title:
Manager ~ Corporate Finance
Location:
Bangalore
Experience Required:
5–8 years
Position Type:
Full-Time
Department:
Finance
Role Overview
We are seeking a highly motivated and experienced professional to join our
Corporate & Project Finance team
. The role involves end-to-end responsibility for financial structuring, project evaluation, debt syndication, lender coordination, financial closure, and post-financing monitoring of projects. In addition, the candidate will actively contribute to
corporate finance initiatives
, including due diligence, financial modelling, and support for M&A and strategic transactions.
The ideal candidate will bring strong exposure to
infrastructure, renewable energy, EPC, or large-scale industrial projects
, combined with hands-on experience in handling
banks, financial institutions, investors, and corporate transactions
.
Key Responsibilities
Corporate Finance
- Build and analyse valuation and transaction models (DCF, comparable companies, precedent transactions, synergy analysis).
- Support M&A transactions including deal structuring, and negotiations.
- Assist management in equity fundraising, investor presentations, and strategic capital planning.
- Lead the financial due diligence assignments for the investments, and strategic partnerships.
- Work with external advisors (investment banks, consultants, law firms) on corporate transactions.
Project Finance
Financial Structuring & Modelling
Develop and maintain robust financial models for project evaluation, sensitivity analysis, and scenario planning.
Assess key project metrics such as IRR, DSCR, NPV, and equity returns for management decision-making.
Debt Syndication & Financing
Lead the process of raising debt from banks, NBFCs, and financial institutions.
- Prepare project information memorandums, financial projections, and lender presentations.
Negotiate terms for term loans, working capital facilities, and structured financing instruments.
Lender & Investor Management
Coordinate with banks, financial institutions, credit rating agencies, and investors.
- Manage due diligence (technical, legal, financial) and ensure smooth financial closure.
Ensure timely drawdowns and compliance with financing covenants.
Project Monitoring & Reporting
Track project cash flows, debt servicing, and covenant compliance.
- Prepare MIS reports and performance dashboards for management and lenders.
- Support refinancing, restructuring, or additional funding requirements.
Key Skills & Competencies
- Strong knowledge of project finance, corporate finance, and debt syndication.
- Proven experience in due diligence, financial modelling, and M&A.
- Sector expertise in infrastructure, renewable energy, and EPC financing structures.
- Advanced proficiency in MS Excel, PowerPoint, and valuation/financial modelling tools.
- Excellent negotiation, communication, and stakeholder management skills.
- Ability to multitask across project-level and corporate-level financing assignments.
Qualifications & Experience
- Chartered Accountant (CA) / MBA (Finance) / CFA preferred.
- 5–8 years of relevant experience in project finance, corporate finance, and debt syndication.
- Prior involvement in financial closure of large-scale projects and/or M&A transactions will be a strong advantage.
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Corporate - Finance Role
Posted today
Job Viewed
Job Description
Strategic Due diligence
Key Responsibilities
- As part of the Global Strategic Due Diligence team within Corporate Development, you will be tasked with conducting commercial and strategic financial due diligence on prospective M&A targets including market sizing, benchmarking, customer interviews, value capture planning, and other ad hoc commercial analysis
- You will also coordinate the conduct of corporate functional due diligence across finance, HR, tax, legal, IT, Security and various other corporate functional work streams.
- The role whilst based out of India will support M&A pursuits across North America, Europe, UKI. Also will have primary responsibility for any APAC based pursuits.
Additional responsibilities include:
- Assisting the Corporate Development Regional Diligence Leads with the end-to-end cross functional corporate due diligence and transaction management for M&A transactions.
- Prepare materials for and participate in target management meetings
- Collate findings of due diligence across all commercial and corporate functional due diligence work streams for review by our investment committee
- Review and give comments on legal contracts associated with transactions, ensuring risks identified in due diligence are appropriately considered
- Assist in preparing Executive Leadership / Investment Committee deliverables and communications
- Coordinate transaction signing and closing procedures with relevant functional teams, including performing funds flow tie out
- Prepare communication including reports, memos, etc. to ensure continuity and a smooth transition during the post-closing phase to support the integration
- Demonstrate Cognizant's core values and support inclusion and diversity goals
- Coach and train fellow associates where relevant, ensuring best practice across the team
Mandatory Capabilities/Skills /Years of Experience
Domain/Industry (Mandatory) – Business services, Technology services or other professional services experience essential
Technology Skills (Mandatory) – Proficient with Excel and preparing high impact presentations and reporting decks in PowerPoint
Functional capabilities (Mandatory) – Prior experience in due diligence (financial, commercial, operational) with a top-tier consulting firm, big 4 or from another corporate development team
Years of Experience (Mandatory) –10+ years
Certifications (Optional) – Chartered Accountancy, CFA qualification preferred but not essential, MBA preferred but not essential
Detailed other requirements (Mandatory) - None
Preferred Capabilities/Skills/Years of Experience
- BA or BS Accounting, Finance or other relevant business degree
- CPA, CFA, MBA or other relevant professional/ post-graduate qualification
- M&A experience over 25 transactions in either deal execution, commercial due diligence/ M&A strategy or financial due diligence
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Lead - Corporate Finance
Posted today
Job Viewed
Job Description
Who We Are:
Cimpress Technology develops cutting-edge, best-in-world software that our mass customization businesses use to create personalized products for over 17 million global customers. Our Mass Customization Platform consists of modular, multi-tenant services. Our businesses can choose the solutions that work for them, or assemble any custom combination they need. This makes it easier and faster to do things like introduce new products, reach customers and track orders. Just last year, Cimpress generated over $3B in revenue through customized print products, signage, apparel, packaging and more.
WIRmachenDRUCK, a German web-to-print company, offers graphic designers and print resellers a vast range of highly customizable products at low prices; from promotional products to customized beverage cans.
About the Role:
As a Lead Corporate Finance, you will be a key member of Cimpress Technology's finance organization, working at the intersection of accounting, reporting, and strategic financial initiatives across our global businesses. This role offers the opportunity to apply your expertise in Accounting, Audit, and FP&A, while driving process improvements and enabling financial transparency across multiple international entities.
This is a high-impact role suited for someone who thrives in a multinational, fast-paced environment, brings a proven track record in process and change management, and is eager to contribute to the financial backbone of a growing, technology-driven organization.
What you will do:
We are looking for a highly motivated and detail-oriented Finance specialist to join our dynamic, multinational organization. This role is ideal for someone with a strong foundation in Accounting, Audit, or FP&A, and experience in process and change management. You will play a key role in overseeing financial reporting, implementing US GAAP standards, and driving key finance initiatives across our global subsidiaries.
Key Responsibilities:
- Map local trial balances to US GAAP and manage related SAP uploads
- Implement US GAAP standards across group companies
- Support the month-end close process and conduct financial results analysis
- Assist in account reconciliations and identify process improvement opportunities
- Coordinate bi-annual SOX testing and support external/internal audit processes
- Contribute to financial systems implementation and enhancements
- Provide support on post-merger integration activities as required
Key Skills & Qualifications
- Experience: Minimum 7 years of experience in Finance, ideally with a mix of Accounting, Audit, and FP&A
- Strong analytical skills and attention to detail, with the ability to see the bigger picture
- Proven expertise in process and change management
- Excellent interpersonal and communication skills
- Fluent in English; German language skills are a strong plus (but not mandatory)
- Exposure to German companies or work environments is a plus
- Strong understanding of financial systems (SAP preferred) and reporting standards
Qualifications:
- Bachelor's Degree.
- 7+ Years of Business Experience.
- Excellent attention to detail and strong organizational skills
- Strong communication and collaboration skills
- Strong analytic, problem solving, and troubleshooting skills
- Knowledge of Mass Customization a Plus
- Understands and communicates in English
Nice to Have:
- Experience in scaling processes for growing product teams.
- Exposure to working with Product, Engineering, Design, and Customer Success teams.
Why You'll Love Working Here:
Being at Cimpress means that you don't see work as just a building, a desk or a manufacturing floor. You see it as a chance to take a step forward in your career journey – and your life. We strive to give you everything you need to learn, grow, and succeed. Through innovation, collaboration, and perpetual exposure to what's next, we're always pushing boundaries and broadening our horizons. We embrace the chance to operate outside of our comfort zone to discover what we're capable of. Some might call that a challenge; we just call it another great day at work.
Equal Opportunity Employer:
Cimpress, is an Equal Employment Opportunity Employer. All qualified candidates will receive consideration for employment without regard to race, color, sex, national or ethnic origin, nationality, age, religion, citizenship, disability, medical condition, sexual orientation, gender identity, gender presentation, legal or preferred name, marital status, pregnancy, family structure, veteran status or any other basis protected by human rights laws or regulations. This list is not exhaustive and, in fact, in many cases, we strive to do more than the law requires.
We're Remote-First:
In 2020, Cimpress adopted a Remote-First operating model and culture. We heard from our team members that having the freedom, autonomy and trust in each other to work from home and, the ability to operate when they are most productive, empowers them to be their best. Vista also provides collaboration spaces for team members to work physically together when it's safe to do so and when in-person collaboration will deliver the best results. Currently we are enabled to hire remote team members in over 30 US States as well as several countries in Europe, including Spain, Germany, UK, Czech Republic, the Netherlands and Switzerland.
Please visit:
Meanwhile you can know more about our company details through below mentioned links:
- Cimpress Vision -
- About us: Our story -
- Our India ecommerce website -
- Global corporate Website –
Corporate Finance Manager
Posted 7 days ago
Job Viewed
Job Description
Why Choose Crewstone?
Crewstone International is a licensed Private Equity Management Corporation (PEMC) regulated by the Securities Commission Malaysia. Since 2011, we have built a diverse and resilient portfolio spanning the US, UK, Asia, and the UAE – driven by a global team of seasoned investment professionals and a commitment to excellence.
Building on this strong foundation, CSI is now embarking on the next phase of its global expansion, extending our footprint into 11 dynamic markets: Switzerland, China, India, Indonesia, Russia, Australia, Japan, Singapore, Hong Kong, alongside our existing bases in Malaysia and the USA. This expansion offers a unique platform where local expertise meets international opportunity, creating an environment for both our investors and our people to thrive.
Role Overview
We are seeking driven and entrepreneurial Corporate Finance Managers who are passionate about investments, deal-making, and value creation. In this role, you will represent CSI in your home market, leveraging your local insights to identify opportunities, build relationships, and execute transactions — all while collaborating with a global team of private equity professionals.
This is more than just a finance role — it is a chance to shape investments that transcend borders, accelerate your career on an international stage, and contribute directly to CSI’s vision of building enduring value across markets.
Key Responsibilities
- Identify and evaluate investment opportunities within your local market, aligned with CSI’s global strategy.
- Conduct detailed financial modeling, valuation, and due diligence on potential deals.
- Support transaction execution, including negotiations, structuring, and documentation.
- Perform market and industry research to generate insights for investment decisions.
- Monitor and report on portfolio company performance, supporting value creation initiatives.
- Collaborate with cross-border teams to align local market opportunities with global strategies.
- Contribute to investor relations through the preparation of investment memos, presentations, and performance updates.
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a related discipline (CFA, CPA, or MBA preferred).
- 5-10 years of experience in investment banking, corporate finance, management consulting, or private equity.
- Strong financial modeling, valuation, and analytical skills.
- Proven ability to execute deals and manage due diligence processes.
- Excellent communication and presentation skills; fluency in English is required. Fluency in the local language of your market will be an advantage.
- Entrepreneurial mindset with the ability to thrive in a fast-paced, high-growth environment.
- Strong network and knowledge of your local market landscape.
- Capable of building strong working relationships across geographies and cultural contexts.