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Ridhira Group

4 weeks ago


Hyderabad, India Ridhira living Full time

Job Title: Head of Finance & Accounts.

Location: Nanakaramguda, Hyderabad.

About Ridhira Group:

- Ridhira Group is a diversified business conglomerate with interests spanning real estate, hospitality, wellness, and lifestyle sectors.

- With a strong focus on innovation, quality, and sustainability, the Group is building landmark projects and transformative experiences.

- We are seeking a dynamic and experienced Head of Finance & Accounts to lead the financial strategy and governance across the Group.

Role Overview:

- The Head of Finance & Accounts will be responsible for overseeing the entire financial management of the Group, including financial planning, accounting, compliance, taxation, audits, treasury, and risk management.

- This role demands a strategic leader with hands-on expertise in managing finances of a multi-sector business, particularly with exposure to real estate, construction, and hospitality industries.

Key Responsibilities:

Strategic & Financial Planning:

- Develop and implement the Groups financial strategy aligned with business objectives.

- Lead budgeting, forecasting, and long-term financial planning.

- Provide insights and recommendations to the Board and Management on financial performance, profitability, and growth opportunities.

Accounting & Reporting:

- Oversee day-to-day accounting operations ensuring accuracy, timeliness, and compliance with standards.

- Ensure preparation of financial statements, MIS reports, and consolidation across business units.

- Drive automation and digital transformation in financial processes.

Compliance & Governance:

- Ensure statutory compliance with Companies Act, Income Tax, GST, RERA, FEMA, SEBI, and other relevant regulations.

- Manage internal controls, financial audits, and external audit relationships.

- Establish strong governance and reporting frameworks across group companies.

Taxation & Treasury:

- Manage direct and indirect taxation matters, assessments, and filings.

- Optimize working capital, cash flow management, and fund utilization.

- Oversee treasury operations including banking, loans, fund raising, and investor relations.

Leadership & Team Management:

- Build and lead a high-performing finance & accounts team.

- Partner with business heads to support decision-making with financial insights.

- Mentor and upskill the finance team to meet evolving business requirements.

Qualifications & Experience:

- Chartered Accountant (CA) mandatory, with 12-18 years of progressive experience.

- Proven track record in real estate, infrastructure, hospitality, or related industries.

- Strong knowledge of financial planning, taxation, compliance, and project finance.

- Experience in fundraising, investor relations, and banking negotiations is preferred.

- Excellent leadership, communication, and stakeholder management skills.

(ref:iimjobs.com)