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Senior Accountant

Microsoft

Delhi

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 4,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Senior Accountant An exciting career opportunity exists for a motivated Senior Accountant to advance their professional journey. This role sits within a fast-paced, innovation-driven organisation that values integrity and continuous improvement. Main Accountabilities: Manage working capital optimisation including DSO, DPO, and inventory turnover. Consolidate financial results and prepare executive-level commentary for board review. Develop financial risk frameworks and implement hedging strategies for currency and commodity. Support business development with pricing models, bid evaluations, and feasibility studies. Conduct due diligence for M&A transactions, investments, and strategic partnerships. Provide financial leadership on cost reduction, margin improvement, and profitability. Prepare and present investor relations materials, board reports, and financial summaries. Oversee budgeting, forecasting, and long-range planning for assigned business units. Essential Skills and Experience: Collaborative, proactive, and able to operate effectively with minimal supervision. Expertise in applying quantitative and qualitative methods to support evidence-based decisions. Knowledge of applicable regulatory frameworks, industry standards, and compliance requirements. Superior writing and communication skills with experience preparing executive-level documents. Excellent attention to detail and commitment to producing accurate, high-quality deliverables. Relevant undergraduate or postgraduate degree aligned with the role's core responsibilities. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. The organisation provides a comprehensive benefits package and excellent career advancement opportunities for the right candidate.

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Finance & Accounting - University Graduate

IBM

Chennai

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4 w

·

Full time

·

Information Technology

Minimum

₹ 4,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Finance & Accounting - University Graduate We are currently recruiting a results-oriented Finance & Accounting - University Graduate to strengthen our high-performing team. This is an excellent opportunity for professionals who value structured career advancement and meaningful impact. Role Responsibilities: Conduct due diligence for M&A transactions, investments, and strategic partnerships. Support business development with pricing models, bid evaluations, and feasibility studies. Ensure robust internal controls, SOX compliance (if applicable), and risk management. Drive continuous improvement in financial reporting processes and internal controls. Lead relationships with banks, NBFCs, and financial institutions for credit facilities. Manage transfer pricing policies and intercompany transactions in compliance with regulations. Provide financial leadership on cost reduction, margin improvement, and profitability. Manage working capital optimisation including DSO, DPO, and inventory turnover. Education and Experience Requirements: Proven ability to manage competing priorities in a deadline-driven, dynamic environment. Demonstrated proficiency with industry-standard tools, platforms, and methodologies. Excellent verbal and written communication skills; fluency in English is essential. High degree of professionalism, integrity, and alignment with organisational values. Experience collaborating within cross-functional teams and matrix organisational structures. Minimum 35 years of progressive professional experience in a comparable role. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. We look forward to welcoming a driven professional who shares our commitment to excellence and sustained impact.

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Financial Analyst I

Hewlett-Packard

Hyderabad

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 5,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Financial Analyst I We are seeking a highly qualified and motivated Financial Analyst I to join our dynamic and growing team. The selected professional will thrive in a data-driven, efficiency-focused, and collaborative work environment. Responsibilities Include: Support month-end and year-end close processes with accurate and timely journal entries. Develop financial models and forecasts to support strategic planning and business cases. Ensure compliance with Indian accounting standards, GST, and direct tax requirements. Prepare and file TDS returns, GST returns, and statutory filings within timelines. Conduct ratio, trend, and cost-benefit analysis to support management decisions. Prepare and analyse financial statements, MIS reports, and variance analyses for management. Evaluate capital expenditure proposals and provide financial insights for investments. Manage accounts payable, receivable, and cash flow to maintain financial control. Skills and Qualifications: A structured, results-driven approach with the ability to meet defined milestones consistently. Willingness to travel, adapt, and take on additional responsibilities as the business demands. Strong communication, presentation, and interpersonal skills across all organisational levels. Hands-on experience with tools, software, and platforms standard to the profession. 26 years of relevant industry experience with evidence of increasing responsibility. Bachelor's or master's degree in a related discipline with strong academic and professional credentials. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. We are committed to fostering an inclusive workplace and welcome applications from candidates of all backgrounds.

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Finance Manager - CCTI

Google

Mumbai

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 12,00,000 Per Year

Maximum

₹ 35,00,000 Per Year

Position: Finance Manager - CCTI An exciting career opportunity exists for a motivated Finance Manager - CCTI to advance their professional journey. This role sits within a fast-paced, innovation-driven organisation that values integrity and continuous improvement. Main Accountabilities: Develop financial risk frameworks and implement hedging strategies for currency and commodity. Prepare and present investor relations materials, board reports, and financial summaries. Oversee budgeting, forecasting, and long-range planning for assigned business units. Manage transfer pricing policies and intercompany transactions in compliance with regulations. Provide financial leadership on cost reduction, margin improvement, and profitability. Conduct due diligence for M&A transactions, investments, and strategic partnerships. Manage working capital optimisation including DSO, DPO, and inventory turnover. Consolidate financial results and prepare executive-level commentary for board review. Essential Skills and Experience: Strong project management capabilities with experience in agile or structured methodologies. Knowledge of applicable regulatory frameworks, industry standards, and compliance requirements. Relevant undergraduate or postgraduate degree aligned with the role's core responsibilities. 4+ years of experience with a demonstrated track record of growth and professional impact. Excellent attention to detail and commitment to producing accurate, high-quality deliverables. Collaborative, proactive, and able to operate effectively with minimal supervision. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. The organisation provides a comprehensive benefits package and excellent career advancement opportunities for the right candidate.

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Quality Assurance Manager

Amazon

Bangalore

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 4,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Quality Assurance Manager We are expanding our team and seek a driven Quality Assurance Manager who brings expertise, initiative, and professionalism. The candidate will join a globally connected team that prizes diverse perspectives and operational excellence. Core Responsibilities: Conduct ratio, trend, and cost-benefit analysis to support management decisions. Prepare and analyse financial statements, MIS reports, and variance analyses for management. Evaluate capital expenditure proposals and provide financial insights for investments. Develop and monitor budgets, forecasts, and long-range financial plans for business units. Support treasury activities including cash management and financial risk assessment. Manage accounts payable, receivable, and cash flow to maintain financial control. Liaise with statutory auditors, internal auditors, tax consultants, and regulators. Support month-end and year-end close processes with accurate and timely journal entries. Minimum Qualifications: Collaborative, proactive, and able to operate effectively with minimal supervision. 4+ years of experience with a demonstrated track record of growth and professional impact. Relevant undergraduate or postgraduate degree aligned with the role's core responsibilities. Strong project management capabilities with experience in agile or structured methodologies. Superior writing and communication skills with experience preparing executive-level documents. Knowledge of applicable regulatory frameworks, industry standards, and compliance requirements. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. This position represents a unique platform for a high-calibre professional to make a lasting contribution.

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Accounting Manager

Apple

Pune

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 12,00,000 Per Year

Maximum

₹ 35,00,000 Per Year

Position: Accounting Manager A distinguished opportunity awaits a seasoned Accounting Manager within our progressive, innovation-led organisation. This role provides exposure to strategic initiatives and direct collaboration with senior leadership. Main Accountabilities: Lead relationships with banks, NBFCs, and financial institutions for credit facilities. Manage transfer pricing policies and intercompany transactions in compliance with regulations. Oversee budgeting, forecasting, and long-range planning for assigned business units. Provide financial leadership on cost reduction, margin improvement, and profitability. Consolidate financial results and prepare executive-level commentary for board review. Develop financial risk frameworks and implement hedging strategies for currency and commodity. Support business development with pricing models, bid evaluations, and feasibility studies. Conduct due diligence for M&A transactions, investments, and strategic partnerships. Essential Skills and Experience: Strong project management capabilities with experience in agile or structured methodologies. Expertise in applying quantitative and qualitative methods to support evidence-based decisions. Collaborative, proactive, and able to operate effectively with minimal supervision. Superior writing and communication skills with experience preparing executive-level documents. Excellent attention to detail and commitment to producing accurate, high-quality deliverables. 4+ years of experience with a demonstrated track record of growth and professional impact. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. This role offers exceptional career growth, a collaborative culture, and a compensation structure aligned to market benchmarks.

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Associate Financial Analyst

Adobe

Chennai

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 5,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Associate Financial Analyst Our organisation invites applications from accomplished professionals for the role of Associate Financial Analyst. This role sits within a fast-paced, innovation-driven organisation that values integrity and continuous improvement. Principal Responsibilities: Manage working capital optimisation including DSO, DPO, and inventory turnover. Support business development with pricing models, bid evaluations, and feasibility studies. Prepare and present investor relations materials, board reports, and financial summaries. Provide financial leadership on cost reduction, margin improvement, and profitability. Ensure robust internal controls, SOX compliance (if applicable), and risk management. Manage transfer pricing policies and intercompany transactions in compliance with regulations. Lead relationships with banks, NBFCs, and financial institutions for credit facilities. Drive continuous improvement in financial reporting processes and internal controls. Candidate Requirements: Critical and strategic thinking skills with the ability to translate insights into clear actions. Leadership experience with a track record of guiding teams, projects, or cross-functional initiatives. Recognised qualification in the relevant professional field at the undergraduate or graduate level. 5+ years of experience with demonstrated progression in scope, complexity, and responsibility. Advanced competency in analytical tools, reporting platforms, and role-specific technology. Commitment to professional ethics, confidentiality, and the highest standards of conduct. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. The organisation provides a comprehensive benefits package and excellent career advancement opportunities for the right candidate.

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Financial Analyst- Secaucus, New Jersey

Cisco

Hyderabad

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 5,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Financial Analyst- Secaucus, New Jersey We seek a dedicated and solutions-focused Financial Analyst- Secaucus, New Jersey to join our cross-functional, high-performing team. The candidate will join a globally connected team that prizes diverse perspectives and operational excellence. Key Responsibilities: Liaise with statutory auditors, internal auditors, tax consultants, and regulators. Prepare and file TDS returns, GST returns, and statutory filings within timelines. Conduct ratio, trend, and cost-benefit analysis to support management decisions. Develop and monitor budgets, forecasts, and long-range financial plans for business units. Prepare and analyse financial statements, MIS reports, and variance analyses for management. Evaluate capital expenditure proposals and provide financial insights for investments. Support treasury activities including cash management and financial risk assessment. Ensure compliance with Indian accounting standards, GST, and direct tax requirements. Qualifications and Requirements: Excellent verbal and written communication skills; fluency in English is essential. Minimum 35 years of progressive professional experience in a comparable role. Proven ability to manage competing priorities in a deadline-driven, dynamic environment. Strong analytical and problem-solving skills with the ability to navigate complex challenges. Experience collaborating within cross-functional teams and matrix organisational structures. High degree of professionalism, integrity, and alignment with organisational values. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. This position represents a unique platform for a high-calibre professional to make a lasting contribution.

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Document Controller

Intuit

Mumbai

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 8,00,000 Per Year

Maximum

₹ 25,00,000 Per Year

Position: Document Controller We seek a dedicated and solutions-focused Document Controller to join our cross-functional, high-performing team. The selected professional will thrive in a data-driven, efficiency-focused, and collaborative work environment. Duties and Accountabilities: Prepare and analyse financial statements, MIS reports, and variance analyses for management. Manage accounts payable, receivable, and cash flow to maintain financial control. Prepare and file TDS returns, GST returns, and statutory filings within timelines. Ensure compliance with Indian accounting standards, GST, and direct tax requirements. Support treasury activities including cash management and financial risk assessment. Maintain accurate books of accounts in ERP systems such as SAP, Oracle, or Tally. Conduct ratio, trend, and cost-benefit analysis to support management decisions. Develop and monitor budgets, forecasts, and long-range financial plans for business units. Key Skills and Qualifications: Sound understanding of organisational dynamics and stakeholder management in complex environments. Effective presentation skills with the ability to communicate complex ideas with clarity. Commitment to professional ethics, confidentiality, and the highest standards of conduct. 5+ years of experience with demonstrated progression in scope, complexity, and responsibility. Critical and strategic thinking skills with the ability to translate insights into clear actions. Recognised qualification in the relevant professional field at the undergraduate or graduate level. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. We are committed to fostering an inclusive workplace and welcome applications from candidates of all backgrounds.

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Clerical - Accounting

clario

Bangalore

·

4 w

·

Full time

·

Information Technology

Minimum

₹ 4,00,000 Per Year

Maximum

₹ 12,00,000 Per Year

Position: Clerical - Accounting A distinguished opportunity awaits a seasoned Clerical - Accounting within our progressive, innovation-led organisation. This role sits within a fast-paced, innovation-driven organisation that values integrity and continuous improvement. Role Responsibilities: Ensure robust internal controls, SOX compliance (if applicable), and risk management. Drive continuous improvement in financial reporting processes and internal controls. Lead relationships with banks, NBFCs, and financial institutions for credit facilities. Manage working capital optimisation including DSO, DPO, and inventory turnover. Support business development with pricing models, bid evaluations, and feasibility studies. Consolidate financial results and prepare executive-level commentary for board review. Develop financial risk frameworks and implement hedging strategies for currency and commodity. Provide financial leadership on cost reduction, margin improvement, and profitability. Education and Experience Requirements: A bachelor's degree or higher in a relevant field; postgraduate qualifications are an added advantage. Minimum 35 years of progressive professional experience in a comparable role. Demonstrated proficiency with industry-standard tools, platforms, and methodologies. Strong analytical and problem-solving skills with the ability to navigate complex challenges. Experience collaborating within cross-functional teams and matrix organisational structures. Proven ability to manage competing priorities in a deadline-driven, dynamic environment. Proficiency in financial modelling, Tally/SAP/Oracle, advanced Excel; CA/CMA preferred. The organisation provides a comprehensive benefits package and excellent career advancement opportunities for the right candidate.