





Known pharma brand, mid-level finance role, metro location and SAP requirement drive high competition.
Core finance, treasury and SAP skills are broadly transferable across industries, so background sensitivity is low.
Explicit 3–6 years plus mandatory SAP and treasury skills create moderately strict filters.
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Manage daily banking operations including transactions, payment processing, and bank reconciliations.
Prepare and forecast cash flow reports weekly and monthly while maintaining treasury reports.
Support month-end closing, financial reporting, intercompany loan accounting, and ensure compliance with internal controls and audit requirements.
Graduate or Post Graduate degree in Commerce.
3-6 years of experience in Finance, Treasury, or Accounting.
Proficient in SAP and Advanced Excel.
Location requirement: Head Office, Ahmedabad, Gujarat, India; Travel: 0-25%.
Experienced in cash flow management, banking operations, and MIS reporting within a finance or accounting function.
Capable of handling multiple financial tasks including reconciliations, statutory payments, and month-end closing processes.
Strong analytical skills combined with effective communication and stakeholder management abilities.