Financial Planning And Analysis at MLOPS SOLUTIONS PVT LTD · Hyderabad · 3 - 6 years · ₹3L - ₹8L / yr · Profitable · Posted 3 Jun 2026

Job Role : Financial Planning And Analysis
Experience :3 To 6 Years
Work Mode : Hybrid Model
Location : Hyderabad
- Reconciliation of General Ledger Accounts including Cash and Bank accounts and other Sub-ledger Accounts as required.
- Identify, research, analyze & resolve the reconciling items on the accounts reconciled
- Prepare and organize supporting documentation for reconciliations.
- Perform Account-related system tasks such as report generation and data management
- Prepare reconciliation-related journal entries and enter in SAP GL.
- Develop new methods or approaches to facilitate more effective performance of prescribed responsibilities.
- Effectively communicate independently with all the stake holders including US Managers / counterparts.
- Effective team player ensuring the team goals are achieved through collaboration
- Ability to Prioritize & multi task successfully to ensure meeting challenging deadlines of various activities.
Must & Good to have Skills
- Candidates with strong experience in financial analysis, reporting, and finance support related to IT/technology procurement
- The ideal profile should have hands-on expertise in budgeting, stakeholder management, SAP reconciliations, dashboarding, and strategic reporting
- Relevant experience in financial planning, reporting, variance analysis, and working on insurance applications as per regulatory guidelines will be preferred
- Key skills/tools: Financial Reporting, Budgeting, Variance Analysis, P&L Management, Stakeholder Management, Power BI, SAP Ariba, ServiceNow SPM, MS Excel, Celonis, Agile, and Scrum.

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A. Planning & Budgeting
• Manage driver-based budgeting models
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• Support business units in preparing planning submissions and review packs
• Execute cost allocation models, Maintain allocation drivers,
B. Variance Analysis
• Actual vs Budget / Forecast analysis
• MoM and YoY movement analysis
• Cost center-level variance breakdowns
• Volume / rate / mix analysis
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• Prepare monthly rolling forecasts
• Update outlook based on performance, macro factors, and business inputs
• Maintain driver-based and scenario-integrated forecasting models
D. Scenario Analysis & Stress Testing
• Perform sensitivity and what-if analysis (e.g., NIM, impairments, costs)
• Support regulatory exercises (ICAAP / ILAAP / stress scenarios)
• Quantify capital and liquidity impacts
• Prepare governance & committee packs
E. Governance & Reporting
• Produce segment/customer profitability reports
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• Prepare Board / ExCo packs
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Soft skills:
• Advanced FP&A expertise (Banking preferred)
• Strong understanding of Balance Sheet & Capital metrics
• Financial modelling (driver-based, scenario modelling)
• Knowledge of stress testing frameworks (BoE scenarios preferred)
• Advanced Excel + planning tools (Anaplan, SAP BPC, Hyperion)
Tools / Systems
• Planning tools: Anaplan / BPC / Hyperion/FCSS/ Oracle Fusion
• Excel (advanced modelling)
• BI tools: Power BI / Tableau
Risks & Controls
• Risk: Model inaccuracies → Control: Model validation & reconciliation
• Risk: Data inconsistency → Control: Cross-functional alignment checks
Risk: Regulatory non-compliance → Control: ICAAP/ILAAP validation reviews
Education requirements:
• Chartered Accountant
• Master’s degree in accounting, Finance, Economics, or related field
Certification:
• Anaplan / BPC / Hyperion/FCSS/ Oracle Fusion
• Excel (advanced modelling)
Keyword:
Skills: Data Concepts & Data Modelling~F&A - Financial Planning & Analysis
Experience Required:
Are you a finance professional looking to move beyond routine accounting and work on business transformation projects? This opportunity offers exposure to finance processes, ERP systems, consulting assignments, and interactions with businesses across various industries.
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- Support ERP implementation and business system projects.
- Collaborate with clients to understand business requirements and recommend solutions.
- Participate in financial reporting, MIS, compliance, and audit-related activities.
- Assist organizations in adopting best practices and efficient workflows.
What We're Looking For
- B.Com, M.Com, CA Inter, or equivalent finance qualification.
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- Good communication, analytical, and stakeholder management skills.
Why This Role?
✅ Opportunity to work on large-scale business improvement projects
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✅ Dynamic work environment with continuous professional growth
✅ Strong client interaction and business exposure
Candidate Preferences
- Open to travel for client engagements and project assignments.
- Interested in a consulting-oriented role and learning-driven environment.
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If you enjoy solving business challenges, improving financial processes, and working closely with diverse organizations, we'd love to hear from you.
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Job Description –Executive Assistant (Finance)
Position Title: Executive Assistant (Finance)
Location: Mumbai
Department: Finance
Reports to: CFO
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The role will function as a strategic project management partner to the CFO, driving execution of key initiatives, strengthening business finance coordination, and ensuring alignment across group entities. The incumbent will be responsible for driving execution discipline, ensuring cross-functional alignment, and delivering strategic priorities on time, while enabling data-driven decision-making and robust performance tracking at a group level.
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5. Process Improvement & Automation
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6. Special Projects & Business Analysis
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Key Skills & Competencies
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The recruiter has not been active on this job recently. You may apply but please expect a delayed response.
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Remote role
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1. Collate the incoming revenues through all sources namely sales, renewals, supplement sales,
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approvals.
4. Prepare and maintain Profit and Loss (P& L) accounts and analyze financial performance.
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Payments & Compliances
6. Ensure timely payouts to Doctors/Vendors.
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8. Verify the revenues earned by Sales and Services team for disbursing their incentives.
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Budgeting and Forecasting
10. Periodically prepare Revenue and Expenses estimates and assist in Budgeting and
forecasting.
11. Conduct Revenue and cost analysis and advise on burn reduction and business process
efficiencies.
Audits
12. SPOC for internal and External audits and ensure correctness of data at all times.
Dashboards
13. Publish monthly Dashboards for investors founders and marketing teams review and
decision making.
Vendor & Inventory Management
14. Coordinate with vendors on stock procurement, inventory replenishment, invoice
verification, account reconciliations, payment follow-ups, and resolution of inventory and
operational issues.
15. Manage inventory records, monitor stock movements, perform periodic inventory
reconciliations, and ensure accurate inventory reporting.
Miscellaneous
16. SPOC for all Bank related.
17. Coordinate with external accounting firm, and CA firm.
18. Will be incharge for all Finance related and such other tasks assigned by the founders.
Qualifications:
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The recruiter has not been active on this job recently. You may apply but please expect a delayed response.
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Location : Airoli
JOB REQUIREMENT
Qualification: Commerce graduation plus CA or ICWA
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Preferred Age Group: Around 40 years
Conversant with SAP,
Expert Domain knowledge of :
· Accounts Finalization
· Accounts Payable
· Statutory compliances with regard to Ind AS, SEBI, Companies Act, Schedule III requirements
Statutory Audit
Well-versed with MS Excel, Word, PPT.
Nature of Experience:
(1) General Accounting :
· Well-versed with Ind AS, SEBI compliances, Provisions of Companies Act'2013
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· Forward Contracts accounting
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· Compliance of Trade Payable, MSME disclosure as per Schedule III of the Companies Act 2013.
(2) Accounts Payable:
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· Oversee invoice processing, verification, coding, approvals, and payment processing
· Ensure accurate and timely recording of vendor invoices and expenses
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(4) Treasury:
· Treasury accounting - Reviewing transactions in SAP and coordinating with respective teams for accounting investments, Maturity/redemptions
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· Treasury Corpus and its related income information for Cash Flow
· Preparing Quarterly Board Meeting related MIS details
(5) SAP FI/CO knowledge MUST
Position : Executive / Sr. Executive / Assistant Manager – MIS & Reconciliation
Industry : Fintech
Job Location : Gurgaon
Experience :
- Executive / Sr. Executive : 3–6 Years
- Assistant Manager : 5–8 Years
Role Overview :
We are looking for a detail-oriented and analytical MIS & Reconciliation professional to manage management reporting, account reconciliations, data validation, and periodic MIS activities.
The role will be responsible for preparing accurate and timely MIS reports, identifying and resolving reconciliation discrepancies, maintaining data integrity, and coordinating with cross-functional teams. The position will also contribute to process improvement and reporting automation initiatives.
Mandatory Skills :
MIS Reporting, Account Reconciliation, Advanced Excel (VLOOKUP, HLOOKUP, XLOOKUP, Pivot Tables, COUNTIF/COUNTIFS, SUMIF/SUMIFS), Data Analysis, Data Validation, Financial Reporting, and Discrepancy Resolution.
Key Responsibilities :
- Collect, consolidate, validate, and analyze data from multiple sources for MIS reporting.
- Prepare and circulate daily, weekly, monthly, and periodic MIS reports for management review.
- Perform account, transaction, and ledger reconciliations and investigate discrepancies.
- Identify data mismatches, exceptions, and reconciliation breaks and ensure timely resolution.
- Maintain high standards of data accuracy, completeness, and integrity across reporting activities.
- Coordinate with Finance, Operations, Business, and other internal teams to collect and validate required information.
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- Support audit requirements by preparing relevant reports, reconciliations, schedules, and supporting documentation.
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- Data integrity and adherence to reporting standards.
- Quality of coordination with cross-functional stakeholders.
- Reduction in manual reporting efforts through process improvement and automation.
- Timely support for audits and management reporting requirements.
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Advanced Excel
Strong hands-on experience with Microsoft Excel, including :
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- COUNTIF / COUNTIFS
- SUMIF / SUMIFS
- Pivot Tables
- Conditional Formatting
- Data Validation
- IF / Nested IF
- INDEX-MATCH
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- Large-data-set handling and analysis
MIS & Reconciliation
- Strong experience in MIS preparation and management reporting.
- Hands-on experience in account / transaction / ledger reconciliation.
- Ability to identify, analyze, and resolve data discrepancies.
- Good understanding of data validation and reporting controls.
Preferred / Additional Skills :
- Basic knowledge of Macros / VBA.
- Experience with Tally ERP 9 or similar accounting/ERP tools.
- Basic understanding of accounting principles and financial transactions.
- Exposure to reporting automation and process improvement.
- Experience working with large volumes of financial or transactional data.
- Good analytical and problem-solving skills.
- Strong communication and stakeholder coordination skills.
Educational Qualification :
Minimum Qualification :
- Bachelor's degree in B.A. / B.Com or equivalent.
Preferred Qualification :
- B.Com
- B.A.
- MBA – Finance / Accounting
Ideal Candidate Profile :
The ideal candidate should have strong hands-on experience in MIS reporting, reconciliation, Excel-based data analysis, and management reporting, preferably within the Fintech, BFSI, financial services, payments, or transaction-driven environment.
The candidate should be highly detail-oriented, comfortable working with large datasets, capable of independently identifying discrepancies, and proactive in improving reporting and reconciliation processes.
▌ ABOUT BXI WORLD
At BXI (Barter Exchange of India), we have reinvented the age-old concept of bartering for the modern Indian enterprise. We empower businesses to let their goods and services work for them — transforming inventory into a powerful engine for growth. Our digital marketplace connects you with 10+ categories of products and services available for exchange from over 100+ trusted brands. BXI is a business community where reputed organizations join to exchange goods and services, creating a vibrant marketplace where businesses trade without cash.
▌ ABOUT THE ROLE
We are looking for a Finance & Accounts Manager who is not just a numbers person, but a strategic finance partner who can drive analytical rigour, compliance, and financial excellence across BXI. You will own FP&A, MIS, P&L, and ensure our financial operations are audit-ready and growth-aligned — with specific exposure to fintech product workflows.
▌ KEY SKILLS
FP&A | MIS | P&L Management | Financial Accounting | Audit & Compliance | KYC & Onboarding | Fintech | Analytical Thinking
▌ WHAT YOU'LL DO
• Lead FP&A (Financial Planning & Analysis) — budgeting, forecasting, and variance analysis
• Prepare and present MIS reports — timely, accurate, and decision-ready
• Own P&L management — monitor performance, flag risks, and drive cost efficiencies
• Manage financial accounting including ledgers, reconciliations, and month-end close
• Support brand KYC and onboarding processes as relevant to fintech compliance
• Lead audit readiness and ensure compliance with all regulatory and statutory requirements
• Liaise with online product teams for finance integration in fintech workflows
• Drive analytical insights from financial data to support leadership decision-making
• Coordinate with auditors, banks, and regulatory bodies as required
▌ WHAT WE'RE LOOKING FOR
• 3+ years of experience in finance and accounts, preferably in fintech or tech-driven companies
• Strong expertise in FP&A — financial modelling, budgeting, and forecasting
• Hands-on experience in MIS preparation and P&L management
• Solid understanding of financial accounting principles and practices
• Prior exposure to online product environments in fintech is highly preferred
• Working knowledge of brand KYC, onboarding compliance, and audit processes
• High analytical acumen — ability to interpret data and communicate insights clearly
• Proficiency in accounting software and MS Excel (advanced level)
• Inter CA / MBA Finance / CMA preferred
Hiring: Senior Accounts Executive
Location: Chennai
Experience: 3–6 Years
CTC: Up to 12 LPA
Key Responsibilities
- Month-end & year-end closing, journal entries and reconciliations
- Preparation of MIS & Management Reports
- Support Board Pack preparation and financial analysis
- Budgeting, forecasting & variance analysis
- Weekly/monthly cash flow reporting
- Support statutory audits, GST, TDS & compliance
- Maintain accurate financial records and schedules
Requirements
- 3–6 years of relevant experience in Accounting / Financial Reporting / FP&A
- Should be Qualified or semiqualified CA/ CMA/ICWA
- Strong MS Excel skills
- ERP exposure – SAP / Oracle / NetSuite / Tally preferred
- Good knowledge of GST, TDS & statutory compliance
- Strong analytical, communication and coordination skills











