MOTHERSON HEALTH & MEDICAL is focused on helping people become and stay healthy by enabling access to high-quality and affordable care. As part of the Motherson family, we draw upon decades of expertise in innovation, product design, engineering, software, and supply chain. Motherson Health & Medical leverages the vast resources of the Motherson Group, which includes over 180,000 employees and more than 350 manufacturing facilities in 41 countries. This enables us to substantially impact the healthcare industry by creating access to quality and affordable healthcare worldwide.
We continuously expand our core capabilities by collaborating with universities, hospitals, research groups, startups, and healthcare companies. By staying at the forefront of scientific and technical developments, we deliver cutting-edge products to our customers. We believe in attracting talented individuals, investing in their development, and providing equal opportunities for success. We actively recruit talent with core healthcare capabilities from diverse geographies to join our inclusive team. Together, we aim to revolutionise the healthcare industry and make quality and affordable healthcare accessible to all.
Join Motherson Health & Medical and be part of our mission to make a positive impact on global healthcare.
Su tarea
Creating, analyzing, and interpreting our data to make informed decisions. You will also be expected to create new financial models and charts to assist with our business planning and forecasting. Your duties will include account reconciliation, balance sheet analysis, monthly reporting, tax reporting, and preparation of budgets.
Responsibilities: Below are some of the responsibilities a financial manager is expected to assume in their position:
- Prepare financial reports, forecasts, and statements
- Assess financing alternatives by considering risk, return and market conditions
- Prepare cash flow forecasts and budgets
- Monitor the cash flow of the company to ensure sufficient funds are available to meet cash flow needs
- Prepare an analysis of financing needs for major capital equipment purchases, working capital, and other financing needs
- Prepare and monitor the company's credit facility
- Prepare periodic financial reports for the company
Qué ofrecemos
The team is growing at the same time our Group grows. Therefore there are many opportunities for you to grow with us!
Su perfil
Requirements:
- CA/ CMA/Inter CA/Inter CMA
- Around 4+ years of relevant experience in Finance & Controlling deliverables
- Candidate should be Proven experience in financial analysis, forecasting, and budgeting.
- Experience with financial management software systems.
- Good analytical skills
- Commercial acumen
- Detail orientation
- Working knowledge of Indirect Tax Laws i.e. GST.
- Knowledge of Indian Accounting Standards and SAP.
- Good interpersonal skills