Manager - Business Finance

CapitaLand India

HyderabadFull-timeMid LevelOn-site

Job Description

About CapitaLand Investment India: CapitaLand Investment India is a part of the CapitaLand Investment Group; a leading global real asset manager headquartered in Singapore. In India, the company focuses on business parks, logistics, data centers, and industrial assets, with a strong presence across key cities such as Bangalore, Chennai, Hyderabad, Pune, Mumbai, and Gurgaon. With a diversified portfolio of premium office spaces and integrated developments, CapitaLand India is committed to sustainable growth, high-quality asset management, and delivering long-term value to its stakeholders.

The company is also a pioneer in listed real estate investment trusts (REITs) in India through CapitaLand India Trust (CLINT), which owns and manages a portfolio of high-quality income-producing assets. Driven by innovation, governance, and sustainability, CapitaLand India continues to be a key player in shaping India’s commercial real estate landscape. Job Title: Manager - Business Finance Department: Finance Job Location: Hyderabad, Telangana Responsibilities: Partner with Business to provide financial information and analysis to achieve business strategies Monitor and report on key macroeconomic trends for business/investment strategies stablish, measure, monitor, and analyze Key Performance Indicators (KPIs) that are relevant for decision support Prepare and review project cashflow models for proposed investments Prepare annual financial forecast/budget and monthly rolling forecast Collaborate with various teams for variance analysis Financial Reporting (Rev/Cost Provisions, Monthly Financials review) Collaborate with various operational teams to review revenue, OPEX Take part in procurement process by reviewing vendor financial due diligence Perform customer due diligence and facilitate subsequent onboarding Prepare CAM budget and coordinate CAM certification for tenants Prepare redevelopment budget and perform ongoing cost tracking & analysis Monitor cash flows and recommend funding options & coordinate with owner & banks for fundings Monitor funding covenants & ensure continuous compliance Prepare and submit management reports on timely basis Support in finalization of monthly, quarterly and yearly books of accounts Assist with any other special focus studies or ad hoc tasks assigned Pre-requisites: 3-7 years of working experience in corporate finance, business finance CA/CFA/MBA Finance with relevant experience.

Strong analytical skills, numerical competence, and financial analysis experience Independently minded who can work well with internal and external stakeholders Excellent communication and presentation skills Ability to work under pressure and adhere to tight deadlines. Reasonable knowledge of IGAAP, Ind AS and IFRS Skilled in MS Office, in particular MS Excel Analytical skills. Preferred: Real estate credit evaluation, real estate research or property valuation Understanding of Value-at-Risk Models, Capital Assets Pricing Model Experience in project cashflow modelling for proposed investments Familiarity with investment and acquisition process Able to work independently

Posted 2 weeks ago

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