We are seeking a highly motivated and analytical resource to join our Finance team, playing a critical role in our public market readiness efforts. This position sits at the intersection of Corporate Finance and Investor Relations, with a primary focus on supporting the company's IPO planning, strategic financial modeling, and external communications with the investment community.
Key Responsibilities:
1. IPO Readiness and Execution
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Documentation & Analytical Support: Assist in the preparation and review of IPO-related documents, including the "Business" section of the Draft Red Herring Prospectus and other statutory/non-statutory filings, by collaborating closely with the Business Finance & Core Finance teams.
2. Investor Communications and Outreach
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Presentation Development: Draft, update, and refine the investor presentation/roadshow deck and develop detailed FAQs/cuts for institutional and research analysts meetings
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Board Reporting: Preparation of board deck for executive, board review and preparation of investor MIS for circulation
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Market Intelligence & Peer Analysis: Conduct in-depth financial analysis of the business, assess key operating metrics, and compare the company's performance, valuation, and strategy against publicly traded & private peers to strengthen investor messaging and competitive positioning.
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Shareholder & Market Tracking: Track and analyze shareholder base, public market trends, and financial metrics of peer "new age" companies to shape internal strategy and messaging.
3. Financial Planning and Analysis:
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Financial Modeling: Develop, maintain, and manage the company’s internal financial forecast models, preparing different versions (e.g., Street, Board, and internal management) to ensure forecast accuracy and consistency.
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Variance Analysis: Perform detailed analysis on business plans and budgets to understand the root causes of financial variance and improve forecasting precision.
Qualifications:
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Experience: 5-7 years of experience in Corporate Finance, Investor Relations, Equity Research, or Investment Banking.
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Education: Bachelor’s or Master’s degree in Finance, Accounting, Economics, or a related field.
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Technical Skills: Advanced proficiency in financial modeling and strong familiarity with financial statements (GAAP/Ind AS) and valuation methodologies.
Required Skills
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Exceptional written and verbal communication skills, with the ability to articulate complex financial information and business strategy to external investors and internal stakeholders.
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High attention to detail and ability to operate under tight deadlines in a fast-paced environment.
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Strong collaborative and interpersonal skills to work effectively with cross-functional teams (Legal, Accounting, Business, etc.).