Meraki Group is looking for a CA-qualified finance professional with 4–5 years of experience who is hands-on with treasury and cash-flow management, experienced in Corporate Finance, forecasting, comfortable dealing with banks, and experienced in preparing meaningful MIS for management.
Cash Flow & Treasury
• Manage daily cash balances and maintain weekly/monthly cash flow forecasts.
• Optimize working capital across different projects or business units.
• Reduce financial risks and ensure the company has sufficient liquidity.
Banking & Compliance
• Serve as the main point of contact for our banking partners.
• Help secure and manage credit lines, loans, and bank facilities (LCs, BGs).
• Ensure full compliance with banking terms and submit monthly stock or project statements on time.
MIS & Financial Planning
• Prepare and present monthly MIS reports to senior management.
• Track actual spending against budgets and analyze variances.
• Partner with operational heads to align financial forecasts with project or factory milestones
• Education: Strictly must be a Chartered Accountant (CA) .
• Experience: 4 to 5 years of post-qualification experience is required.
• Industry: Experience in Real Estate & Manufacturing is highly preferred.
• Skills: Strong hands-on experience in Excel, ERP systems, and financial forecasting.
• Soft Skills: Good communication skills to negotiate with banks and present to management.