Finance_Accounting
Actively Reviewing the ApplicationsSembcorp Industries Ltd
India, Haryana, Gurugram
Full-Time
On-site
Posted 4 weeks ago
•
Apply by May 25, 2026
Job Description
Role Overview
The Financial Controller will be responsible for driving financial governance, reporting, and strategic planning to ensure accuracy, compliance, and efficiency across all financial operations. This role demands strong expertise in financial controlling, cost management, corporate structuring, and strategic financing initiatives.
Key Responsibilities
The Financial Controller will be responsible for driving financial governance, reporting, and strategic planning to ensure accuracy, compliance, and efficiency across all financial operations. This role demands strong expertise in financial controlling, cost management, corporate structuring, and strategic financing initiatives.
Key Responsibilities
- Financial Controlling & Accounting
- Oversee accounting operations, cost control, and internal audits.
- Ensure compliance with statutory requirements and internal control frameworks.
- Drive accuracy in financial reporting and implement performance improvement measures across departments.
- Budgeting & FP&A
- Monitor annual budgets and forecasts.
- Prepare and analyse financial reports, variance analysis, and MIS for management and board review.
- Implement initiatives to enhance reporting accuracy and operational efficiency.
- Financing
- Maintain strong banking relationships, debt Management for Operational and under construction projects and negotiate favourable terms for debt management.
- Corporate Structuring & M&A
- Lead financial structuring, equity funding, and offshore funding arrangements.
- Handle acquisitions, including due diligence, valuation, structuring, and integration.
- Manage amalgamations within the organizational structure.
- Governance & Compliance
- Prepare board presentations and ensure adherence to corporate governance standards.
- Develop and enforce internal policies and SOPs for financial operations.
- Treasury & Investment Management
- Plan and manage funds, investments, and treasury operations.
- Optimize cash flow and working capital management.
- Taxation & Regulatory Support
- Oversee direct and indirect tax compliance and filings.
- Provide regulatory and legal support for financial matters.
- Project Cost Management
- Monitor and control project costs, ensuring adherence to budgets and timelines.
- Inventory Management & Control
- Implement robust inventory control measures to maintain accuracy and efficiency.
- Financial Controlling & Reporting
- Budgeting & Forecasting (FP&A)
- M&A and Amalgamation
- Treasury & Cash Flow Management
- Taxation & Compliance
- Internal Controls & Governance
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