Top Financial Analyst Jobs in Mumbai, MH
As a Finance Analyst at Yield Guild Games (YGG), you will be responsible for maintaining accurate monthly reports on budgeting and treasury activities, contributing to informed decision-making processes, and aiding in strategic financial planning. Ideal candidates have a Bachelor's degree in Finance or related field, 1 year of professional experience, proficiency in MS Office, a proactive attitude, and a strong interest in blockchain and web3 technology.
Responsible for day-to-day financial operations and reporting tasks, including month-end GL closing, regulatory and regional reporting, and financial analysis. Requires Bachelor's degree in Finance & Accounting, relevant working experience, and strong Microsoft Excel skills.
QAD is looking for an Accounting Analyst with strong analytical skills and experience in various accounting processes. This position is responsible for processing transactions, ensuring process documentation, meeting SLA standards, resolving issues, and contributing to global initiatives.
Lead and actively participate in Microsoft Dynamics 365 FO Finance projects, provide expertise in Accounts Payable, General Ledger, Accounts Receivables, Fixed Assets, and GST compliance, collaborate with clients on functional specifications, lead problem-solving efforts, and drive continuous improvement initiatives.
Senior FP&A Analyst responsible for financial analysis, budgeting, and forecasting. Primary location at Adient Asia Holdings.
Provide strategic financial advice to the leadership team, specialize in finance and business-related activities, support financial planning and decision-making, lead country finance and payroll accounting functions, drive continuous improvement, collaborate with global stakeholders, and deliver efficient and effective FP&A solutions.
The Finance Analyst - Accounting at Beckman Coulter India Diagnostics is responsible for accurate and timely General Ledger Accounting, Financial Reporting, Fixed Asset and Inventory Accounting. The role involves financial reporting as per US GAAP, fixed asset accounting, and audit preparation among other responsibilities.
Looking for a Sr Analyst, Accounting to complete month-end close procedures, journal entry processing, variance analysis, reconciliations, and support audit. Must have 3-6 years of experience, proficient in Excel, strong analytical skills, and U.S. GAAP knowledge.
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Monitor performance of fuel cells, compile and analyze complex Excel models, manage budgets, analyze process improvement opportunities, and manage internal communications.
Analyzes business trends, leads financial forecasts, prepares financial reporting, creates financial models, manages budget processes, performs profitability analysis, identifies process improvement opportunities, safeguards company's assets.
Senior Manager role in FP&A with 12-15 years of experience in Asset Management. Responsibilities include producing management reports, financial forecasting, data aggregation, and maintaining competitor database.
Establishing controls for managing costs & revenue, setting up budgets, driving cost optimizations, vendor negotiations, financial close review, developing business insights through analytics. Opportunity to learn and grow within the FP&A team.
Associate/Sr Associate in FP&A role at Nium, responsible for analyzing and reporting business performance, strategic finance projects, budgeting, forecasting, and planning
The Financial Operations Analyst will be responsible for key financial operations processes, supporting payment processes, resolving queries, and completing reconciliations and control checks. This role offers an opportunity to work with the Product Engineering team to enhance payment products and advance in the finance field.
Supervise Financial Planning & Analysis team, analyze performance indicators, develop financial models, provide financial recommendations to management, prepare reports, support senior management with analysis, and present to the Board of Directors.
Senior Treasury Analyst responsible for developing detailed cash flow forecasts, managing insurance renewals, overseeing cash, debt, and investments, analyzing financial risks, and leading process improvement efforts. Requires a Bachelor's degree and 5+ years of corporate treasury experience.
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