Corporate Finance Manager

  • Industry Other
  • Category Accounting
  • Location Kathmandu, Nepal
  • Expiry date Aug 14, 2025 (7 days left)
Job Description

Company Description

ANNAPURNA VENTURES is an entrepreneurship village of 30+ ventures in 12+ sectors and 1200+ team members. 


Job Summary:

The Corporate Finance Manager is responsible for overseeing and supporting the financial operations of a group of companies. This role ensures consistent financial reporting, statutory compliance, efficient banking operations, and strategic financial planning across the group. Working closely with the CFO, the Corporate Finance Manager will provide consolidated insights, optimize fund utilization, and ensure sound financial decision-making at the group level.



Key Responsibilities:

a. Group Finance Operations Oversight:

  • Provide support and guidance to finance teams of all group entities.
  • Ensure accurate accounting entries and timely finalization of financial statements across companies.
  • Deliver training and standardize financial procedures and processes across the group.

b. LC (Letter of Credit) and TT (Telegraphic Transfer) Operations:

  • Oversee and manage LC and TT operations for all group companies.
  • Ensure transactions are executed in compliance with timelines and financial policies.

c. Group-Level Financial Reporting:

  • Consolidate monthly, quarterly, and annual financial reports of all group companies.
  • Prepare fund utilization summaries and forecast future requirements for the GCFO.

d. Statutory Compliance and Audit Coordination:

  • Ensure all group companies comply with statutory regulations and financial reporting standards.
  • Lead coordination of group-level and individual company statutory audits.
  • Manage timely and accurate filing of TDS, VAT, and other regulatory returns.

e. Banking and Financial Institution Liaison:

  • Develop and maintain strong relationships with banking partners and financial institutions.
  • Monitor and validate financial charges to ensure alignment with approved agreements.

f. Insurance Management:

  • Ensure appropriate and cost-effective insurance coverage is in place for all group assets.

g. Strategic Investment Analysis:

  • Conduct financial feasibility studies and due diligence for new projects, mergers, acquisitions, and strategic partnerships.

h. Financial Planning & Budgeting:

  • Lead the preparation of annual budgets and financial forecasts across group companies.
  • Provide insights to support strategic planning and corporate decision-making.


Qualifications:

  • Education: Bachelor’s degree in Finance, Accounting, or a related discipline. CA/ACCA or equivalent professional qualification preferred.


Skills & Competencies:

  • Strong command of group financial consolidation and statutory compliance requirements.
  • Proficiency in accounting software, ERP systems, and reporting tools.
  • Analytical mindset with sound judgment and problem-solving abilities.
  • Excellent communication, interpersonal, and stakeholder management skills.
  • Ability to multitask, prioritize, and work across diverse business environments.