Job Description:-
Plan, manage, implement proper Financial Discipline in the organization.
• Own financial models, cash flow forecasts, and revenue projections
• Track key metrics, P&L, and unit economics across business lines
• Monitor spend vs. plan and provide actionable insights
• Analyze campaign ROI, product margins, and pricing structures
• Build reports for investors, internal stakeholders, and partners
• Support scenario planning and growth strategy with data
• Manage cash flow effectively to ensure optimal utilization of funds
• Explore and implement strategies to improve working capital efficiency
Requirements
• Data Analysis: Collect, analyze, and interpret financial data to identify trends,
assess risks, and make predictions.
• Financial Modeling: Develop and use financial models to forecast future
performance and assess the impact of different scenarios (integrated 3-way models
including P&L, Cash flow, and Balance Sheet).
• Business Strategy: Contribute to the development of business strategies by
providing insights into financial performance and market conditions.
• Reporting and Communication: Prepare reports, presentations, and other
materials to communicate findings and recommendations to clients or stakeholders.