hireejobs
Hyderabad Jobs
Banglore Jobs
Chennai Jobs
Delhi Jobs
Ahmedabad Jobs
Mumbai Jobs
Pune Jobs
Vijayawada Jobs
Gurgaon Jobs
Noida Jobs
Oil & Gas Jobs
Banking Jobs
Construction Jobs
Top Management Jobs
IT - Software Jobs
Medical Healthcare Jobs
Purchase / Logistics Jobs
Sales
Ajax Jobs
Designing Jobs
ASP .NET Jobs
Java Jobs
MySQL Jobs
Sap hr Jobs
Software Testing Jobs
Html Jobs
IT Jobs
Logistics Jobs
Customer Service Jobs
Airport Jobs
Banking Jobs
Driver Jobs
Part Time Jobs
Civil Engineering Jobs
Accountant Jobs
Safety Officer Jobs
Nursing Jobs
Civil Engineering Jobs
Hospitality Jobs
Part Time Jobs
Security Jobs
Finance Jobs
Marketing Jobs
Shipping Jobs
Real Estate Jobs
Telecom Jobs

Finance Controller

Fresher   Pune, All India   09 Mar, 2026
Job LocationPune, All India
EducationNot Mentioned
SalaryNot Disclosed
IndustryBFSI
Functional AreaNot Mentioned
EmploymentTypeFull-time

Job Description

    As a Finance Operations Manager at Air Arabia PJSCs CoreOps Services Private Limited in Pune, India, your role will involve executing and managing the companys financial operations with a focus on accounts payable, audit & control, reporting, compliance, banking, and reconciliations. Your attention to detail, effective coordination with Group Finance management, and ability to drive process improvements will be key to ensuring accurate financial records, regulatory compliance, and efficient cash flow management.Key Responsibilities:- Prepare and maintain accurate financial statements and reports to support decision-making.- Reconcile bank and general ledger accounts, investigate discrepancies, and ensure timely resolution.- Collaborate with Group Finance teams to align accounting practices and prepare consolidated financial reports.- Ensure compliance with local tax regulations, GST filings, and corporate governance requirements.- Manage end-to-end accounts payable processes, including invoice processing, payment scheduling, and vendor management.- Oversee timely payments, resolve discrepancies, and maintain audit-ready documentation.- Manage daily cash flow, cash forecasting, banking relationships, and liquidity planning.Continued Key Responsibilities:- Coordinate with tax consultants to prepare and file Income Tax Returns (ITR) accurately and on time.- Support internal and external audits, ensuring timely submission of audit documentation and adherence to accounting standards.- Monitor changes in regulatory requirements and ensure compliance with updated financial reporting standards.- Identify opportunities for process automation and efficiency improvements.- Act as a liaison between the accounting team and group management for smooth communication.- Update and maintain financial data accuracy within the Oracle Financial System.- Regularly review system-generated reports for errors and discrepancies, ensuring timely corrections.Qualifications:- Bachelors degree in Accounting, Finance, or related field. Masters degree preferred with 4 to 6 years of progressive accounting experience, including at least 2 years in a similar role.- Strong knowledge of accounts payable, compliance, banking, and reconciliations.- Proficiency in accounting software (e.g., SAP, Oracle) and advanced Excel skills.- Effective communication skills for stakeholder and group management liaison.Work Experience:- Experience in Indian accounting.- Experience in India-based managed services or outsourcing company is a plus.- Ability to analyze data, identify trends, and support decision-making.- High accuracy and thoroughness in financial reporting and reconciliations.- Ability to resolve discrepancies and implement preventive measures. As a Finance Operations Manager at Air Arabia PJSCs CoreOps Services Private Limited in Pune, India, your role will involve executing and managing the companys financial operations with a focus on accounts payable, audit & control, reporting, compliance, banking, and reconciliations. Your attention to detail, effective coordination with Group Finance management, and ability to drive process improvements will be key to ensuring accurate financial records, regulatory compliance, and efficient cash flow management.Key Responsibilities:- Prepare and maintain accurate financial statements and reports to support decision-making.- Reconcile bank and general ledger accounts, investigate discrepancies, and ensure timely resolution.- Collaborate with Group Finance teams to align accounting practices and prepare consolidated financial reports.- Ensure compliance with local tax regulations, GST filings, and corporate governance requirements.- Manage end-to-end accounts payable processes, including invoice processing, payment scheduling, and vendor management.- Oversee timely payments, resolve discrepancies, and maintain audit-ready documentation.- Manage daily cash flow, cash forecasting, banking relationships, and liquidity planning.Continued Key Responsibilities:- Coordinate with tax consultants to prepare and file Income Tax Returns (ITR) accurately and on time.- Support internal and external audits, ensuring timely submission of audit documentation and adherence to accounting standards.- Monitor changes in regulatory requirements and ensure compliance with updated financial reporting standards.- Identify opportunities for process automation and efficiency improvements.- Act as a liaison between the accounting team and group management for smooth communication.- Update and maintain financial data accuracy within the Oracle Financial System.- Regularly review system-generated reports for errors and discrepancies, ensuring timely corrections.Qualifications:- Bachelors degree in Accounting, Finance, or related field. Masters degree preferred with 4 to 6 years of progressive accounting experience, including at least 2 years in a similar role.- Strong knowledg

Keyskills :
Accounts PayableFinancial ReportingComplianceBankingVendor ManagementCash Flow ManagementProcess AutomationAuditControlReconciliationsGST FilingsIncome Tax ReturnsInternalExternal Audits

Finance Controller Related Jobs

© 2019 Hireejobs All Rights Reserved