Finance Manager jobs in Mumbai – Page 2 | RoboApply Jobs

Finance Manager jobs in Mumbai· Page 2

Results 21–40 of 741 for “Finance Manager” in Mumbai.

741 jobs found

21 - 40 of 741 Jobs
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ZEECO logo
Full-time|On-site|Mumbai

About ZEECO ZEECO is a multinational corporation headquartered in the USA, known for designing and manufacturing combustion and environmental solutions. The company’s technologies help reduce emissions, improve industrial processes, and support operational efficiency while meeting global environmental standards. ZEECO also provides aftermarket services, engi…

Apr 16, 2026
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Nivoda logo
Full-time|On-site|Mumbai

Location: Mumbai, IndiaTeam: Fintech TribeAbout Nivoda: Nivoda is a dynamic B2B marketplace facilitating the international trade of Diamonds, Gems, and Jewelry, powered by an innovative SaaS layer. As we expand, we enable the seamless movement of funds across our platform, spanning multiple banks, currencies, and geographies.About the Role: In this pivotal position, your mission will be to ensure comprehensive, accurate, and timely visibility into the flow of funds within Nivoda’s ecosystem. You will play a critical role in shaping the financial infrastructure that supports our global, multi-bank, multi-currency marketplace, guaranteeing our systems can scale effectively with the business.What You’ll Do: You will take ownership of how Nivoda interfaces with banks globally, designing and managing the integrations, data models, and reconciliation processes that drive our financial operations. Your contributions will significantly influence payment accuracy, operational efficiency, and customer trust as we continue to grow.Key Responsibilities:Bank Integrations Ownership: Lead the design, construction, and management of scalable bank integrations across various regions, including MT, BAI, MX/ISO 20022, APIs, host-to-host, and SFTP, ensuring reliable pipelines for transactional and balance data.Reliability & Observability: Implement integrations with a robust systems approach, ensuring end-to-end observability, intelligent retries, idempotency, monitoring, and clearly defined SLAs to maintain resilience at scale.Financial Data Modelling: Define and uphold a unified data model across diverse bank formats, normalizing and enriching financial data for ledgers, reconciliation, reporting, and customer-facing products.Reconciliation Automation: Develop automated matching logic and workflows to reconcile bank statements with marketplace activity and internal ledgers (AP, AR, payroll), facilitating daily or near real-time reconciliation.Payment Flow Visibility: Provide accurate, reconciled payment and funds movement data into internal tools and customer experiences, enhancing clarity and minimizing operational friction.Cross-Functional Partnership: Collaborate closely with Finance, Treasury, and Operations teams to translate financial, accounting, and reconciliation requirements into actionable integrations and processes.

Dec 1, 2025
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Experian logo
Full-time|On-site|Mumbai

Join Experian as an Audit Manager specializing in Non-IT audits. In this pivotal role, you will oversee audit projects, ensuring compliance with regulations and company policies while guiding your team towards achieving excellence in auditing practices.Your key responsibilities will include planning and executing audits, analyzing findings, and presenting recommendations to improve operational efficiency. You will collaborate closely with various departments to foster a culture of accountability and transparency.

Mar 11, 2026
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KredX logo
Full-time|On-site|Mumbai

Join KredX as a Manager/Sr. Manager in our Banking and Financial Institution Alliances team. In this pivotal role, you will lead strategic partnerships, drive growth initiatives, and enhance our market presence. We seek a dynamic professional who excels in relationship management and possesses a deep understanding of the financial landscape.

Apr 30, 2026
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Believe logo
Full-time|On-site|Mumbai

Role overview The Store Revenue Invoicing Manager at Believe focuses on managing invoicing processes that drive the company’s revenue growth. This position calls for strong attention to detail and a steady approach to ensuring revenue reports remain accurate and timely. What you will do Oversee all aspects of store revenue invoicing, making sure invoices are accurate and processed within set timelines. Monitor revenue streams and keep financial records current for reporting purposes. Collaborate with teams across the business to improve and streamline financial operations. Location This role is based in Mumbai.

Apr 27, 2026
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Outpost VFX logo
Full-time|On-site|Mumbai

Role OverviewWe are in search of a meticulous finance professional who possesses extensive experience in UK statutory reporting and group financial consolidation. In this pivotal role, you will ensure the accurate and timely completion of month-end and year-end closing, financial reporting in accordance with UK GAAP and IFRS standards, manage group consolidations, and assist in audits and reporting to stakeholders.Key ResponsibilitiesFinancial ReportingPrepare and review statutory financial statements for the UK in compliance with UK GAAP and IFRS.Prepare and review financial statements for Canadian entities.Ensure timely delivery of monthly, quarterly, and annual reporting requirements.Collaborate with external auditors to facilitate smooth audit processes.Provide insightful variance analysis and reports to senior management in monthly management packs.Support ad-hoc reporting and management presentations.Conduct weekly cash flow forecasting.Assist in the preparation and submission of VAT returns.Support corporation tax computations in collaboration with external advisors.Assist in the preparation of R&D tax credit claims.Group ConsolidationOversee the end-to-end consolidation process for multiple entities.Manage intercompany eliminations, reconciliations, and necessary adjustments.Ensure precision in consolidation journals and reporting packs.Compliance & ControlsEnsure compliance with UK regulatory and statutory requirements.Enhance internal controls related to reporting and consolidation processes.Assist in the implementation of accounting policies and updates.Process Improvement and AutomationIdentify and pursue opportunities for process optimization and automation.Enhance reporting timelines and data accuracy.Collaborate with ERP/consolidation tools such as SAP, Oracle, Hyperion, and OneStream.Experience7-9 years of relevant experience in financial reporting and consolidation.Hands-on experience with multi-entity consolidation.Previous exposure to UK-based clients or entities is essential.Key Requirements - Technical SkillsProficiency in preparing financial statements.Expertise in consolidation techniques.Knowledge of UK regulatory compliance, filing, and reporting.Familiarity with Canadian compliance and reporting is preferred.Experience in intercompany accounting.Proficient in ERP systems (Xero/SAP/Oracle/Hyperion).Advanced skills in Excel.Strong judgement regarding materiality.Exposure to transfer pricing is beneficial.Soft SkillsExceptional analytical and problem-solving abilities.High attention to detail and accuracy.Strong communication and stakeholder management skills.Ability to thrive under tight deadlines.Other RequirementExperience in creative industries such as VFX, post-production, media, or film production accounting is advantageous.

May 4, 2026
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Jiostar logo
Full-time|On-site|Mumbai

Join Jiostar as an Assistant Manager in Cost Planning, where you will play a pivotal role in optimizing our financial strategies and enhancing operational efficiency. In this dynamic position, you will collaborate with cross-functional teams to analyze costs, forecast budgets, and implement effective cost control measures. Your expertise will contribute to our mission of driving sustainable growth and profitability.

Mar 11, 2026
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Jiostar logo
Full-time|On-site|Mumbai

Job Overview:As a pivotal leader in our organization, you will oversee cost planning, consolidation, budgeting, and reporting activities. Your role is essential in driving operational efficiency, facilitating informed decision-making, and delivering accurate and timely financial insights. Team Insight:The Cost Planning Team is integral to our financial health, tasked with budgeting, forecasting, and monitoring both operating and capital expenditures at the organizational level. By collaborating closely with cross-functional teams, you will enforce financial discipline, uncover cost optimization opportunities, and contribute effectively to strategic decision-making.

Aug 4, 2025
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Third Bridge logo
Full-time|On-site|Mumbai

Join Third Bridge as an Associate in our Account Management team, where you will play a pivotal role in supporting our clients' needs and driving business growth. This position is ideal for motivated individuals eager to develop their careers in a dynamic, fast-paced environment.As an Associate, you will engage with clients, providing them with tailored insights and solutions that enhance their decision-making processes. You will collaborate closely with various teams to ensure the delivery of exceptional service and strategic guidance.

Jan 13, 2026
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AlphaGrep Securities logo
Relationship Manager - Mumbai

AlphaGrep Securities

Full-time|On-site|India

Role overview AlphaGrep Securities is hiring a Relationship Manager based in Mumbai. This role centers on building and sustaining strong relationships with clients. The Relationship Manager works to understand each client's needs, offers solutions that fit those needs, and ensures service consistently meets high standards.

Apr 15, 2026
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necsws logo
Full-time|On-site|Mumbai

Join necsws as we seek a dedicated professional for our OTC – Cash Application and Credit Management team in the APAC region. This role is crucial for ensuring the accurate processing of cash applications and effective credit management.

Mar 10, 2026
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Acumen logo
Full-time|On-site|Mumbai, India

As an Investment Manager at Acumen India, you will play a pivotal role in driving our mission to support social enterprises through impactful investments. You will be responsible for sourcing, evaluating, and managing investment opportunities that align with our vision. Your expertise will help us identify innovative solutions to address critical social issues while ensuring financial sustainability.

Mar 6, 2026
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weekday-1 logo
Full-time|On-site|Mumbai, Maharashtra, India

Join our dynamic team at weekday-1 as a Senior Manager/Lead in Lending Operations, specializing in Unsecured Personal Lending. In this pivotal role, you'll oversee the strategic direction and operational excellence of our lending services. You will be responsible for managing a high-performing team, driving process improvements, and ensuring compliance with regulatory standards. Your expertise will be essential in enhancing customer satisfaction and achieving business goals.

May 4, 2026
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Nivoda logo
Full-time|Hybrid|Mumbai

Treasury AssociateLocation: Mumbai, India (Hybrid)Function: Finance / TreasuryEmployment Type: Full-timeReporting Line: This position reports directly to the Global Head of Accounting & FinOps and collaborates closely with the broader Finance leadership, including the CFO, Controllers, and FP&A.About NivodaNivoda is an innovative and rapidly expanding B2B marketplace with a global presence across the US, Europe, India, and APAC. We specialize in connecting businesses, simplifying complex Diamond, Gemstones, and Jewelry supply chains, and facilitating high transaction volumes across diverse currencies and payment methods. As we continue to scale, effective treasury and cash management will play a pivotal role in enabling our growth.Role OverviewWe are seeking a Treasury Associate who possesses robust expertise in cash flow planning, working capital optimization, and short- to medium-term liquidity forecasting. This position is perfect for someone who enjoys delving into the intricacies of business operations—translating operational drivers, P&Ls, cash flows, and balance sheets into future cash positions. You will take ownership of our weekly and monthly cash forecasts, ensuring that cash is allocated efficiently and maximizing yields on surplus funds while minimizing idle balances. Additionally, you will proactively identify inefficiencies in cash and working capital management (e.g., DSO, DPO, account structures, bank fees, interest, and FX) and collaborate with Finance and Operations teams to drive improvements. This role will be based in Mumbai, working closely with FP&A, Accounting, and local business units.Key Responsibilities1. Cash Flow Planning & Forecasting: Develop, maintain, and enhance short-term (13-week / weekly) and medium-term (3–12 month / monthly) cash flow forecasts across various entities and currencies. Convert business plans, sales forecasts, P&Ls, cash flow statements, and balance sheets into accurate cash projections. Consolidate data from AR/AP, FP&A, operations, Tax, and Payroll into a unified, reconciled treasury view. Monitor forecast accuracy against actual results, elucidate variances, and refine forecasting models over time. Conduct scenario and sensitivity analyses (e.g., slower collections, FX fluctuations, changes in payment terms).2. Liquidity & Cash Position Management: Oversee daily global cash positions across banks, entities, and currencies; ensure adequate liquidity for operational needs.Facilitate and monitor intercompany transfers, funding, and cash pooling as necessary, adhering to company policies and regulations.Assist in designing and maintaining an optimal account structure (operating, collection, disbursement, escrow, etc.) to minimize costs and enhance efficiency.

Mar 6, 2026
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RJ Capital Overseas Pvt. Ltd. logo
Business Development Manager

RJ Capital Overseas Pvt. Ltd.

Full-time|On-site|Mumbai

We are seeking a results-driven Business Development Manager to spearhead our corporate financing and investment banking initiatives. The ideal candidate will have a proven track record in developing strategies that drive growth and enhance client relationships. This role involves identifying new business opportunities, building partnerships, and facilitating financial solutions tailored to our clients' needs.

Sep 6, 2017
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JioHotstar logo
Full Time|On-site|Mumbai

JioStar is seeking a dynamic Assistant Manager for Financial Planning and Analysis to partner closely with our business and operations teams. In this pivotal role, you will provide strategic financial insights that drive decision-making and enhance overall business performance. Your responsibilities will encompass managing budgeting, forecasting, and variance analysis, as well as ensuring precise financial reporting and compliance adherence. This position is instrumental in promoting financial efficiency and bolstering organizational performance.

Feb 10, 2026
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weekday-1 logo
Full-time|On-site|Mumbai, Maharashtra, India

Role Overview weekday-1 seeks a Head of Internal Audit to lead the internal audit function in Mumbai, Maharashtra, India. This position shapes the organization’s governance and risk management by developing audit strategies and ensuring regulatory compliance. Key Responsibilities Oversee all aspects of the internal audit function Design and implement audit strategies aligned with organizational goals Monitor compliance with applicable regulations and standards Collaborate with senior management and the board to share findings and recommendations What We’re Looking For Strong analytical skills Thorough understanding of internal controls, risk assessment, and audit methodologies Ability to communicate insights that support operational improvement Experience working with senior leadership

Apr 16, 2026
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Weblee Technologies logo
Full-time|On-site|Mumbai

Join our dynamic team at Weblee Technologies as a Wealth Planning Officer. In this pivotal role, you will assist clients in navigating their financial futures, providing expert advice on wealth management strategies tailored to their unique needs. You will leverage your analytical skills to assess client portfolios, recommend investment opportunities, and ensure the highest level of client satisfaction.

Jul 13, 2017
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Weblee Technologies logo
Full-time|On-site|Mumbai

Are you passionate about helping individuals and families achieve their financial goals? Join us at Weblee Technologies as a Wealth Planning Officer. In this role, you will provide expert guidance on wealth management strategies, ensuring our clients secure their financial futures.Your responsibilities will include assessing client financial situations, recommending investment opportunities, and tailoring wealth management plans to meet specific client needs. You will be part of a dynamic team dedicated to delivering exceptional service and innovative solutions.

Jul 12, 2017
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RJ Capital Overseas Pvt. Ltd. logo
Corporate Investment Banking Associate

RJ Capital Overseas Pvt. Ltd.

Full-time|On-site|Mumbai

Are you passionate about finance and eager to navigate the dynamic world of corporate investment banking? If you possess a sharp analytical mind and a thorough understanding of financial markets, this role may be the perfect fit for you.As a Corporate Investment Banking Associate at RJ Capital Overseas Pvt. Ltd., you will be responsible for delivering a wide array of financial services tailored to corporations, institutions, and government entities. Your role will involve managing diverse corporate, strategic, and financial opportunities, including:Mergers and AcquisitionsDebt and Equity Financing (Bonds and Shares)Corporate LendingPrivatization InitiativesInitial Public Offerings (IPOs)In addition to these responsibilities, you will have opportunities to advise clients on management buyouts, capital raising, strategic consulting, and the identification and securing of new deals.

Sep 6, 2017

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