Position Overview
The Chief Financial Officer (CFO) will be a key strategic leader
responsible for overseeing all financial and commercial functions of the
manufacturing business. The ideal candidate will bring over 20 years of
progressive experience, with a strong track record in manufacturing
finance, capital structuring, operational controls, and cross-border
compliance. This is a mission-critical role aimed at optimizing
financial performance, enabling strategic growth, and ensuring robust
corporate governance.
Key Responsibilities:
Strategic Financial Leadership
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Lead the development and execution of financial strategies aligned
with the company’s vision and long-term growth plans.
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Serve as a key advisor to the MD/CEO and the Board on financial
planning, capital deployment, mergers & acquisitions, and risk
management.
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Drive strategic initiatives including business expansion, capacity
enhancement, capital expenditure projects, and international joint
ventures.
Financial Planning, Budgeting & Analysis
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Direct the annual budgeting, forecasting, and multi-year financial
planning process.
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Establish reliable financial models to support business decisions,
including ROI analysis, scenario modeling, and profitability tracking.
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Provide critical insights through MIS dashboards, plant-level P&L,
product-wise costing, and contribution margin analysis.
Operational & Cost Efficiency
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Lead implementation of cost optimization strategies across raw
material procurement, inventory, utilities, overheads, and logistics.
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Partner closely with operations and supply chain leadership to align
financial KPIs with production metrics.
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Strengthen plant-level controls, standard cost systems, and inventory
valuation practices.
Governance, Compliance & Risk Management
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Ensure statutory and regulatory compliance across direct tax, indirect
tax (e.g., GST), Companies Act, labor regulations, and international
accounting standards (IFRS/GAAP).
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Liaise with statutory auditors, internal auditors, tax advisors, and
government authorities as needed.
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Implement robust internal financial controls and enterprise risk
frameworks to mitigate business risks.
Treasury & Cash Flow Management
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Oversee treasury operations including cash flow forecasting, banking
relationships, debt covenants, and interest cost optimization.
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Manage capital structuring, working capital financing, and long-term
funding strategies.
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Evaluate and execute hedging instruments for forex exposure where
applicable.
ERP, Digital Finance & Process Automation
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Champion ERP implementation and enhancement initiatives (e.g., SAP,
Oracle, Microsoft Dynamics).
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Drive digitization of financial processes, reporting automation, and
analytics integration.
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Establish real-time dashboards for cash, working capital, and
profitability monitoring.
Leadership & Stakeholder Engagement
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Lead, mentor, and grow a high-performing finance and accounts team
across plants and corporate office.
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Collaborate cross-functionally with operations, procurement,
commercial, legal, and HR functions.
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Present financials to the Board of Directors, Investors, and Joint
Venture Partners (where applicable).
Candidate Profile:
Qualification:
- Chartered Accountant (CA)
Experience:
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Minimum 20 years of overall experience, including 10+ years in
leadership roles within manufacturing organizations (multi-plant,
multi-location preferred).
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Demonstrated experience in cost accounting, plant finance, compliance,
treasury, and ERP systems.
Skills & Attributes:
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Deep understanding of manufacturing economics, cost structures, and
supply chain finance.
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Proven ability to manage complex stakeholder relationships including
bankers, auditors, investors, and regulators.
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Strategic thinker with strong business acumen, analytical mindset, and
decision-making capability.
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High integrity, ethical standards, and a continuous improvement
mindset.
This document is confidential and intended only for the person or entity
to which it is addressed.