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Responsible for managing banking relationships, treasury operations, cash flow planning, liquidity management, insurance portfolio administration, risk mitigation, and ensuring compliance with financial regulations and corporate policies.Lead and manage the end-to-end Procure-to-Pay (P2P) function, drive digitisation and automation initiatives, and oversee a team of 13-15 members to ensure efficient, compliant, and scalable finance operations.
Lead cash-flow planning, liquidity management, banking operations, and the administration of existing credit facilities for a fast-growing, asset-intensive organization. Work closely with senior finance leadership to optimize working capital, strengthen treasury controls, and support the company's continued expansion. This is an individual contributor role.
As a Sr. Manager Treasury, you'll handle the financial operations, manage cash flows, and ensure liquidity for the company in Mumbai's agriculture and forestry sector. You'll play a key role in maintaining smooth financial processes and supporting business decisions.
The objective is to provide management with timely financial visibility, identify risks and opportunities early, and drive financial discipline across a manufacturing and project-based engineering organisation.
The Head of Finance & Accounts will oversee financial operations, ensure accurate reporting, and manage budgets to keep things on track. This role is based in Mumbai and is part of the manufacturing industry.
As an Accounts Manager, you'll handle financial operations, ensure accurate reporting, and keep everything on track in the accounting and finance department within the pharmaceutical industry.
As a Manager Accounting and Controls (GA) in Mumbai, you'll handle accounting processes and ensure financial controls are effective in a third-party logistics setup. You'll work to keep financial records accurate and compliant with regulations.
An excellent opportunity for an experienced FP&A professional to lead budgeting, forecasting, financial planning, business performance analysis and management reporting for a growing industrial manufacturing / engineering solutions company. The role will partner closely with senior leadership to provide financial insights, drive profitability, optimize working capital and support strategic decision-making.
The Senior Manager - FP&A will play a critical role in financial planning, analysis, and decision-making to support business growth in the manufacturing industry. This position is based in Mumbai and requires strong expertise in accounting, finance, and strategic planning.
This is a strategic FP&A leadership role responsible for driving budgeting, forecasting, business performance analysis, management reporting, and decision support across business units. The role offers strong exposure to senior leadership, global business operations, and high-impact projects including cost optimisation, capex evaluation, profitability analysis, and financial modelling.
The Group Internal Auditor is responsible for developing and executing a risk-based internal audit program across the company's global manufacturing, commercial, and corporate operations. The role provides independent assurance over financial reporting, operational controls, compliance, risk management, and governance, while partnering with global finance leaders to drive practical control improvements.
The Business Finance Manager will play a crucial role in overseeing financial planning, analysis, and reporting to ensure the financial health of the organisation. This position in the technology and telecoms sector, specifically within the internet industry, requires strong financial acumen and strategic thinking.
We are seeking an experienced Senior Treasury Manager to lead and enhance international treasury operations, driving liquidity optimization, risk management, and strategic financial initiatives. This role offers the opportunity to play a key part in deploying global treasury processes and supporting business growth in a dynamic, fast-evolving environment. Location: Mumbai City | Role: Senior Manager - Treasury
-Lead end-to-end debt fundraising and manage relationships with banks, credit rating agencies and financial institutions.-Work closely with senior leadership to support funding, refinancing, and growth initiatives.
The role of SGM - FP&A involves overseeing FP&A functions, ensuring accurate and strategic financial insights to guide the management. This position is integral to driving financial performance and the growth of the property and real estate sector in Mumbai.
The Sr. Manager FP&A position in the retail and wholesale industry requires expertise in financial planning, analysis, and strategic decision-making. The role is based in Mumbai and involves working closely with cross-functional teams to drive financial performance and business growth.
Support the Group CFO on finance, controllership, regulatory and transaction-related matters concerning foreign subsidiaries. Coordinate with overseas teams and professional advisers to strengthen financial oversight and support informed decision-making.
The Finance Head will oversee all financial operations, ensuring compliance and efficiency in a fast-paced B2B technology services firm. This role is based in Mumbai and is ideal for candidates with expertise in financial planning, analysis, and strategic decision-making.
Independently manage an allocated portion of the company's product-related AR portfolio across the order-to-cash cycle. Partner with the AR Lead, sales, operations, and customers to drive timely collections, resolve account issues, and improve working-capital efficiency.
Lead the complete Accounts Receivable function across multiple markets and product segments for a growing industrial manufacturing company. Manage a team of four and partner with senior leadership, sales, and operations to improve collections, cash flow, and working-capital efficiency.
Manage treasury operations, banking relations and ensure compliance with financial regulations. You'll be responsible to handle cash flow, banking activities, and regulatory reporting.
As a Lead for Financial Insights & Analytics, you'll oversee financial data analysis and provide insights to help guide strategic decisions. You'll work within the manufacturing industry to ensure accurate reporting and meaningful analytics.
This role is responsible for raising and managing debt for renewable energy projects, including financial modelling, lender coordination, loan execution, compliance, and stakeholder management across the project financing lifecycle.
Take ownership of financial modelling and support end-to-end project debt financing transactions, from credit analysis and lender documentation through disbursement. The role offers direct exposure to banks, financial institutions and credit rating agencies within a growing manufacturing business.
Join as a Manager - Investor Relations in the leisure, travel, and tourism industry in Mumbai. You'll be working closely with the senior management team on corporate communication
Lead investor relations activities for a soon to be listed company. Build and maintain strong relationships with investors, ensuring smooth communication and trust.
Join the M&A team of a leading conglomerate in Mumbai and contribute to strategic acquisition opportunities. The role offers hands-on exposure to financial modelling, valuation, due diligence, investment memoranda and transaction execution.
The Lead - Finance Shared Services role in the Accounting & Finance GBS focuses on overseeing financial processes and ensuring compliance. This position is based in Mumbai and requires a strong understanding shared services, in a mix of both third party and captive setups
The Senior Manager Finance will oversee financial operations, ensuring compliance with regulations and optimising financial performance within the professional services industry. This role requires strategic thinking and expertise in accounting and finance to support the consultancy department's objectives in Mumbai.
The Investor Relations Lead will manage and enhance relationships with key stakeholders, including investors and analysts, while ensuring accurate and timely communication of the company's performance and strategic direction. The role involves equity investment-related activities such as stock market analysis, and equity offerings, supporting the company's strategic goals and ensuring strong relationships with both institutional and retail investors.
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