Finance Manager (Accounts & Finance)
Jaipur Rugs
Job Description
Company Profile: Jaipur Rugs is a globally renowned, export-driven organization specializing in hand-knotted rugs. The company connects rural artisans with global markets and operates in over 40 countries, combining traditional craftsmanship with modern business practices. With a strong focus on social impact and sustainability, Jaipur Rugs is recognized for its unique business model and global presence.
Job Summary: We are looking for an experienced and dynamic Finance Manager to lead financial operations, drive strategic planning, and ensure regulatory compliance. The role requires strong exposure to export-oriented manufacturing, team leadership, and investor engagement. Key Responsibilities: Financial Management & Strategy Oversee end-to-end finance and accounting operations Lead financial planning, budgeting, and cost optimization initiatives Prepare and analyze financial statements, MIS reports, and forecasts Support strategic decision-making through data-driven insights Compliance & Controls Ensure compliance with statutory regulations (Income Tax, GST, etc.) Lead internal audit systems and strengthen internal controls Liaise with regulatory authorities and handle financial scrutiny Treasury & Banking Manage banking relationships, working capital, and cash flow Handle treasury operations and fund management Export & Forex Management Manage export-import (EXIM) financial processes Oversee forex transactions, risk management, and compliance Leadership & Stakeholder Management Lead and manage a team of 25–30 members Collaborate with senior leadership for business strategy Handle investor relations and participate in investor meetings Travel as required for business and investor coordination Eligibility Criteria: Qualification: Chartered Accountant (CA) Experience: Minimum 10 years Industry: Export-oriented / manufacturing company Preferred: Experience in a listed company Company Size Exposure: ₹300–500 crore turnover Key Skills & Competencies: Strong financial planning & analysis (FP&A) Expertise in accounting, taxation, and compliance MIS reporting and financial modeling proficiency Knowledge of ERP systems (SAP, Oracle, NAV, etc.) Banking, treasury, and cash flow management Leadership and team management skills Strong analytical and problem-solving ability Effective communication and stakeholder management Additional Requirements: Proactive mindset with strong business understanding Ability to perform root cause analysis and implement solutions Willingness to travel (including with investors) Alignment with organizational values and culture we recommend those who have an previous IPO experience