This is a high-impact leadership
mandate for a finance professional who combines deep technical expertise with
strong business partnership skills. The CFO will own the Group's financial
strategy end-to-end — from building robust controls and compliance frameworks
to shaping capital structure, driving working capital efficiency, and preparing
the organisation for its next phase of institutional and capital markets
engagement.
KEY RESPONSIBILITIES
1.
Financial Strategy & Business Partnership
• Partner with the Director
and CEO to shape the Group's financial strategy in alignment with overall
business objectives.
• Lead annual budgeting,
long-range financial planning, and rolling forecast processes across all
business units.
• Provide sharp, data-driven
financial insights to support strategic decisions on growth, investments, and
resource allocation.
• Identify financial
innovations and funding structures that can drive business expansion and margin
improvement.
2.
Financial Operations, Controls & Compliance
• Establish and continuously
strengthen financial control frameworks ensuring compliance with regulatory and
accounting standards (Ind AS, Companies Act, SEBI where applicable).
• Oversee statutory audits,
internal audits, direct and indirect taxation (GST, TDS, Income Tax), and risk
management across all Group entities.
• Manage multi-entity
consolidation across Group's various subsidiaries and related entities with
accuracy and timeliness.
• Leverage financial
analytics to identify risks and opportunities in real time, enabling proactive
decision-making.
• Ensure zero-tolerance
compliance on ROC filings, secretarial standards, and regulatory submissions.
3.
Working Capital, Treasury & Cash Flow Management
• Own end-to-end working
capital management — with a sharp focus on reducing Days Sales Outstanding
(DSO) and improving collections efficiency.
• Manage treasury operations
including cash flow forecasting, liquidity planning, and optimal deployment of
funds.
• Build and maintain strong
banking and lending institution relationships for credit facilities, working
capital lines, and debt structuring.
• Optimise the Group's
debt-equity mix and oversee loan covenants, interest cost management, and
refinancing where appropriate.
4.
Capital Structuring & Business Growth
• Shape the capital strategy
to optimise investment, working capital, and cash flow across the Group.
• Oversee capital infusion
and equity/debt raise initiatives in coordination with the leadership team.
• Evaluate financial
viability of new verticals, geographies, and strategic partnerships.
• Support M&A
opportunities as required — financial due diligence, valuation, deal
structuring, and post-merger integration from a finance lens.
5.
Investor Relations & Stakeholder Engagement
• Build trust and credibility
with investors, board members, lenders, and financial institutions.
• Prepare and present
periodic financial performance reports, business outlook updates, and strategic
plans to the Board and Director.
• Shape transparent reporting
systems that drive accountability and performance visibility across the
organisation.
• Respond to queries from
institutional investors, banks, and other financial stakeholders with clarity
and confidence.
6. IPO
Readiness & Governance Strengthening
• Lead the finance function's
preparation for a potential IPO — including governance upgrades, financial
reporting standards alignment, SEBI compliance readiness, and investor-grade
disclosures.
• Work with legal,
secretarial, and external advisors to ensure the Group's corporate structure
and financials are IPO-ready.
• Institutionalise
board-level financial reporting, audit committee processes, and independent
director engagement.
• Drive adoption of Ind AS
reporting standards ensuring financial statements reflect the highest levels of
accuracy and transparency.
7.
Digital Transformation & Financial Innovation
• Drive automation and
digitisation of financial operations — including SAP/ERP optimisation,
automated MIS, and real-time dashboards.
• Leverage technology and
analytics to enhance financial forecasting, scenario planning, and reporting
accuracy.
• Champion a data-first
finance culture where decisions are driven by real-time financial intelligence.
• Evaluate and implement
fintech solutions that improve efficiency across payroll, invoicing,
collections, and treasury.
8. Team
Leadership & Finance Function Building
• Lead, mentor, and develop a
finance team of 70+ professionals across accounting, taxation, treasury,
FP&A, and compliance.
• Build a high-performance
finance function with clear ownership, strong processes, and a culture of
accuracy and accountability.
• Drive capability
development within the team — upskilling on technology, compliance, and
business finance skills.
• Establish clear KPIs,
review cadences, and performance management processes within the finance
function.
Experience
& Background
• 15–18 years of progressive
finance leadership experience, with at least 5 years in a CFO, Deputy CFO, VP
Finance, or Group Finance Controller role.
• Mandatory: Hands-on
experience in financial planning & strategy, corporate finance, working
capital management, and taxation.
• Must have experience in
manpower-intensive or service-driven businesses — IFM, staffing, logistics,
telecom, infrastructure O&M, or similar sectors strongly preferred.
• Experience in a large,
multi-entity, multi-location organisation with revenues of ₹500 Cr+ strongly
preferred.
• M&A experience is an
advantage but not mandatory.
• Experience working with
private equity, institutional investors, or preparing for capital market
transactions (IPO/QIP) is highly desirable.
• Hands-on SAP / ERP
experience is essential.
Technical
& Functional Competencies
• Deep expertise in Indian
financial regulations — Companies Act, GST, TDS, Income Tax, Ind AS, and ROC
compliance.
• Strong command over
financial modelling, scenario planning, and management reporting.
• Proven track record of
building and leading high-performance finance teams.
• Expertise in treasury
operations, banking relationships, and debt management.
• Strong understanding of
capital structuring, financial due diligence, and investor reporting.
Leadership
Competencies
• Strategic business partner
— ability to translate financial data into actionable business insights for the
leadership team.
• High integrity with an
unwavering commitment to governance, transparency, and ethical financial
practice.
• Strong communicator — able
to present complex financial information clearly to the Board, Director, and
investors.
• Hands-on, detail-oriented
leader who does not lose sight of operational rigour while thinking
strategically.
• Collaborative and
cross-functional — able to work effectively with HR, operations, legal, and
business unit heads.
Integrity
& Legal Standards
• Clean legal track record
is mandatory — candidates with pending fraud, criminal, or regulatory cases
will not be considered.
• No fraud or criminal
cases of any nature — past or present.
• Highest standards of
personal and professional integrity are non-negotiable for this role.
Education
• Chartered Accountant (CA) —
strongly preferred.
• Cost & Management
Accountant (CMA) or MBA – Finance from a Tier 1 / Tier 2 B-School will also be
considered.
Skills Required
- 15-18 years of progressive finance leadership experience
- At least 5 years in CFO, Deputy CFO, VP Finance, or Group Finance Controller role
- Hands-on SAP / ERP experience
- Practical experience in financial planning & strategy, corporate finance, working capital management, and taxation
- Deep expertise in Indian financial regulations (Ind AS, Companies Act, GST, TDS, Income Tax, ROC compliance)
- Experience leading and building finance teams (70+ professionals)
- Clean legal track record (no pending fraud, criminal, or regulatory cases)
- Experience in manpower-intensive or service-driven businesses (IFM, staffing, logistics, telecom, infrastructure O&M)
- Experience in large multi-entity, multi-location organisations with revenues of ₹500 Cr+
- Experience working with private equity, institutional investors, or preparing for capital market transactions (IPO/QIP)
- M&A experience (due diligence, valuation, deal structuring, integration)
- Chartered Accountant (CA) qualification
- CMA or MBA (Finance) from Tier 1/2 B-school
What We Do
AKMV Consultants Pvt. Ltd is a boutique financial service provider and strategic consulting firm founded in 2018. It specializes in driving business growth through a wide range of services, including mergers and acquisitions, corporate finance, business strategy, market research, and financial analysis. The firm caters to diverse sectors, with a particular focus on security, facility management, and manpower industries, providing customized solutions for every business.








