Key Responsibilities
1. Financial Strategy & Leadership
o Lead and execute the company s financial strategy in alignment with its business
goals and expansion plans.
o Collaborate with the CEO board and executive team to develop growth
strategies optimize financial resources and deliver shareholder value.
o Provide expert guidance on financial forecasting budgeting and cost
management.
2. IPO Readiness and Public Company Compliance
o Oversee preparations for the company's transition to a publicly listed entity
ensuring all financial reporting and disclosure requirements are met.
o Implement and manage robust internal controls policies and procedures to meet
SEBI Companies Act and listing compliance.
o Maintain a high standard of corporate governance ensuring transparent financial
reporting and adherence to regulatory requirements.
3. Fundraising & Investor Relations
o Lead capitalraising initiatives including equity and debt financing to support the
company s growth objectives.
o Develop and maintain relationships with investors financial institutions and
analysts articulating the company's financial performance and growth story.
o Oversee investor communications disclosures and periodic financial reporting.
4. Mergers & Acquisitions (M&A)
o Identify evaluate and execute strategic M&A opportunities to support growth and
diversification.
o Conduct due diligence financial modeling and risk analysis for prospective
deals ensuring alignment with the company s strategic objectives.
o Lead postmerger integration efforts optimizing synergies and enhancing
financial performance.
5. Financial Planning & Analysis (FP&A)
o Lead FP&A activities including financial forecasting budgeting and variance
analysis to ensure efficient resource allocation.
o Provide insightful financial analysis and reporting to support strategic decision
making by the board and executive team.
o Implement key performance indicators (KPIs) and metrics to drive performance
and monitor financial health.
6. Risk Management & Compliance
o Oversee risk management activities ensuring financial risks are identified
assessed and mitigated effectively.
o Ensure compliance with local and international financial regulations tax laws
and other statutory requirements.
o Collaborate with the audit committee to ensure accuracy and integrity in financial
reporting.
Qualifications and Experience
Chartered Accountant (CA).
A minimum of 20 years of experience in finance with at least 5 years in a CFO role.
Proven track record of success in a company of similar or larger size preferably in
manufacturing or related industries.
Experience working with public companies including IPOs regulatory compliance and
public reporting.
Demonstrated experience in fundraising M&A and investor relations.
Strong leadership strategic thinking and analytical skills with a high degree of integrity
and commitment.