Finance Manager – Business Operations & Cash Flow
Job Summary
We are hiring a Finance Manager to own cash flow visibility, payment prioritization, and financial decision support. This is a hands-on role requiring strong analytical thinking and the ability to make real business tradeoffs.
Key Responsibilities
Build and maintain rolling cash flow forecasts (weekly + 2–4 weeks ahead)
Drive payment prioritization based on:
cash availability
vendor criticality
inventory requirements
Analyze expenses and identify cost-saving opportunities
Support budgeting and financial planning
Work closely with AP and accounting teams to ensure data accuracy
Provide actionable financial insights to leadership (not just reports)
Monitor working capital (inventory, payables, receivables)
Requirements
5–10 years of experience in finance, FP&A, or business finance
Strong understanding of:
cash flow management
P&L
working capital
Strong analytical and problem-solving skills
Comfortable with hands-on work in a fast-paced environment
Preferred
CA / MBA Finance
Experience in retail, e-commerce, or inventory-driven businesses
Experience working in growing or dynamic organizations
What This Role Is NOT
Not a pure accounting or compliance role