Finance Manager
CurrentFinancial Planning & Analysis: Overseeing budgets, forecasts, and financial strategies for all group companies, ensuring alignment with overall business goals.Consolidation of Accounts: Managing financial reporting across different geographies, consolidating financial statements in compliance with both Indian and UAE regulations.Compliance & Taxation: Ensuring adherence to Indian and UAE tax laws, including VAT in Dubai, and managing filings for both jurisdictions.Cash Flow Management: Monitoring and optimizing the cash flow across all companies, ensuring smooth operations and liquidity for all business units.Risk Management: Identifying financial risks due to currency fluctuations, economic changes, or regulatory shifts in both countries and implementing mitigation strategies.Stakeholder Management: Regularly communicating with shareholders, auditors, and regulatory bodies in India and Dubai, ensuring transparency and trust.Internal Controls & Audit: Implementing robust internal controls and coordinating audits across all companies to maintain financial integrity.Investment & Funding Decisions: Evaluating investment opportunities, financing options, and capital structure to maximize returns across both markets.Cross-border Transactions: Managing forex transactions, ensuring compliance with RBI regulations in India and UAE Central Bank norms, and handling repatriation of funds.Technology Integration: Overseeing the implementation of financial software and systems that can integrate the financials of both Indian and UAE operations for seamless reporting and management.