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Construction / Glass company

Construction / Glass company

Agency job
Mumbai, Navi Mumbai
10 - 20 yrs
₹30L - ₹40L / yr
cfo
Chief finance
Financial planning
FP&A
Project accounting
+6 more

Job Location: Mumbai


Key Responsibilities


1. Financial Strategy & Leadership


Develop and execute financial strategies aligned with company growth objectives


Partner with CEO and leadership team on business expansion, investments, and risk management


Provide financial insights to support strategic decision-making


2. Financial Planning & Analysis (FP&A)


Lead budgeting, forecasting, and financial modeling processes


Monitor project-wise profitability and cost performance


Analyze variances and recommend corrective actions


Drive margin improvement across projects


3. Project Accounting & Cost Control


Oversee project costing, revenue recognition (percentage of completion method), and billing


Ensure accurate tracking of:


BOQs (Bill of Quantities)


Variations and change orders


Material and labour costs


Implement strong cost control mechanisms for facade projects


4. Treasury & Cash Flow Management


Manage cash flow, working capital, and liquidity planning


Oversee banking relationships, including:


Bank Guarantees (BGs)


Letters of Credit (LCs)


Project financing


Optimize fund utilization and reduce finance costs


5. Accounting & Compliance


Ensure accurate and timely financial reporting as per applicable standards


Oversee audits, taxation (GST, Income Tax), and statutory compliance


Maintain strong internal controls and governance frameworks


Ensure compliance with contract terms and financial regulations


6. Risk Management


Identify financial and operational risks in projects and contracts


Evaluate contract terms for financial exposure


Implement mitigation strategies for cost overruns, delays, and claims


7. Commercial & Contract Management


Review contracts for commercial viability and risk


Support negotiation of project terms, payment milestones, and escalation clauses


Monitor receivables and ensure timely collections


8. Team Leadership


Lead and mentor finance, accounts, and commercial teams


Build systems, processes, and SOPs for scalability


Drive automation and ERP implementation (if required)


Key Requirements


Education


CA / CPA / MBA (Finance) or equivalent qualification


Experience


10–18+ years in finance, with at least 5 years in a leadership role


Strong experience in construction, facade, EPC, or project-based industries


Proven expertise in project accounting and contract management


Skills & Competencies


Strong financial acumen and strategic thinking


Expertise in cost control and margin management


Knowledge of BGs, LCs, and project financing


Excellent leadership and stakeholder management skills


High proficiency in ERP systems and financial tools


Key Performance Indicators (KPIs)


Project profitability and margin improvement


Cash flow and working capital efficiency


Reduction in cost overruns


Timely financial reporting and compliance


Receivables cycle and collection efficiency

Read more
Highfly Sourcing

at Highfly Sourcing

2 candid answers
Highfly Hr
Posted by Highfly Hr
Hannover, Germany, Singapore, RIYADH (Saudi Arabia), Dubai, Dublin, Ireland, Montréal (Canada), Switzerland, HELSINKI (Finland), Denmark, Bengaluru (Bangalore), Mumbai, Delhi, Gurugram, Noida, Ghaziabad, Faridabad, Pune, Hyderabad
3 - 5 yrs
₹15L - ₹30L / yr
Financial analysis
Financial Modeling
Risk Management
Financial risk management
Risk assessment
+4 more

We are looking for an experienced and strategic Chief Financial Officer (CFO) to oversee the company’s financial operations, planning, and risk management. The CFO will play a key leadership role in driving financial performance, supporting business growth, and ensuring financial stability.

Key Responsibilities:

  • Lead and manage all financial functions including accounting, budgeting, forecasting, and financial reporting
  • Develop and execute financial strategies aligned with business goals
  • Monitor cash flow, profitability, and financial performance
  • Prepare and present financial reports to the CEO, Board of Directors, and stakeholders
  • Ensure compliance with financial regulations, tax laws, and company policies
  • Manage financial risk, audits, and internal controls
  • Support strategic initiatives such as investments, mergers, and acquisitions
  • Oversee relationships with banks, auditors, and financial institutions


Read more
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