Manager – Financial Accounts

A Leading RMG Group of Companies

Requirements

Education

  • Master of Business Administration (MBA) in Finance, Accounting
  • CA (CC), CA Part Qualified, CMA, ACCA, or equivalent professional qualification will receive strong preference.
  • Training in IFRS, IAS, Financial Reporting, Corporate Finance, Taxation, ERP Systems, and Internal Controls preferred.

Experience

    • At least 10 years
  • The applicants should have experience in the following business area(s): Garments, Textile

Additional Requirements

  • 8+ years in financial analyst roles with demonstrated success in cash forecasting, cost reduction programs, and internal control development.
  • Advanced Excel and financial modeling.
  • Hands-on experience with ERP implementation.
  • Strong analytical and problem-solving skills.
  • Excellent communication and stakeholder-influence skills.
  • Detail-oriented, process-driven, and able to prioritize competing demands.

Responsibilities & Context

  • Support ERP implementations (requirements, testing, data migration, post-go-live support) for finance unit.
  • Translate finance process needs into ERP design and ensure integrations with payroll, procurement, inventory, and other relevant business units.
  • Coordinate with ERP team to support implementation within the organization.
  • Develop training, documentation, and change-management plans for finance users.
  • Own short- and medium-term cash forecasting models (daily to 12-month horizon) and deliver timely cash position reports to management.
  • Support in forecasting of raw material procurement to optimize cash outflow.
  • Coordinate with treasury and business units to optimize working capital, manage liquidity events, and support funding decisions.
  • Identify, quantify, and implement cost-reduction and efficiency initiatives across SG&A, procurement, and operations.
  • Track savings realization, create business cases, and monitor KPI impacts.
  • Design, document, and implement internal control frameworks for finance processes (AR, AP, payroll, fixed assets, and journal entries).
  • Lead SOX / internal audit readiness activities where applicable; implement remediation plans and continuous control monitoring.
  • Produce variance analyses, monthly management reporting, scenario modeling, and ad-hoc financial analyses to support strategic decisions.
  • Build and maintain financial models, dashboards, and KPIs to drive transparency and accountability.
  • Work closely with HR, operations, procurement, and other business unit leads to align processes and systems.
  • Provide regular updates and presentations to senior leadership and recommend actions based on financial analysis.

To apply for this job email your details to apply@chakricircular.com