Employer Active
• Working closely with both the Asset Management and Finance teams, you will prepare annual budgets and business forecasts
• Monitoring of Budget v/s actual and do variance analyses and performance gap assessment month wise for each property and share with relevant stakeholders
• Prepare and update strategic business plans, financial and business models and forecasts for various purposes
• Conduct sensitivity analyses and impact assessment of various scenarios and business opportunities including Asset Acquisition and Disposal
• Prepare business models and investment memorandum for project and asset being evaluated for acquisition and/or sale / divestment
• Preparation of Cash flows forecasts
• Assist with treasury and banking relationship management and assist to put in a process to regularly monitor Loan Covenants for all banking and other contractual arrangements
• Preparation of Monthly MIS and forecasts with Asset Management team for each property. You will also work towards automation of the monthly MIS reports with IT team
Full Time