Profile Summary

Strategic and results-oriented finance professional with extensive expertise in financial reporting, accounting, and financial management. Adept at optimizing financial performance through cost control, budgeting, and forecasting while ensuring strict regulatory compliance and risk mitigation. Skilled in streamlining financial processes, enhancing internal controls, and leveraging data analytics to drive informed decision-making. A strong leader with a track record of managing cross-functional teams, improving operational efficiencies, and implementing best practices to maximize profitability.

KEY SKILLS

  • Accounts Management
  • Financial Analysis & Reporting
  • Regulatory Compliance
  • General Accounting
  • Financial Planning & Analysis (FP&A)
  • Fund-Based Financing & ECB Management
  • Accounts Payable & Receivable
 

  • Record to Report (RTR)
  • Budgeting & Forecasting
  • Financial Modeling Techniques
  • Cash Flow Management
  • Variance Analysis
  • Working Capital Management
  • Revenue Recognition

Employment History

Manager - Finance at Bharat Hotels Limited

January, 2024 - Present

  • Preparing the Draft Red Herring Prospectus (DRHP) for an upcoming IPO, ensuring adherence to regulatory standards.
  • Generating financial management information system (MIS) reports for board presentations, facilitating strategic decision-making.
  • Overseeing fund-based loans and financial planning, including interest calculations and variance analysis to enhance fiscal performance.
  • Developing detailed PowerPoint presentations for due diligence activities and maintaining effective communication with financial institutions.
  • Supporting financial audits with hands-on experience in implementing Ind AS standards for accurate financial reporting and compliance.
  • Conducting in-depth financial analyses to identify trends and provide actionable insights that drive strategic planning and investment decisions.
  • Collaborating with cross-functional teams to ensure alignment on financial goals and to support business initiatives with relevant financial data.
  • Implementing financial modeling techniques to forecast revenue, expenses, and cash flow, aiding in effective resource allocation and risk management.
  • Monitoring and optimizing working capital management to improve liquidity and ensure efficient use of financial resources.
  • Enhancing financial reporting processes by streamlining data collection and analysis methods, resulting in timely and accurate financial statements.

Assistant Manager - Finance at Bilt Graphic Paper Products Limited, Gurugram

December, 2022 - January, 2024

  • Administered fund-based financing, External Commercial Borrowings (ECB), financial planning, interest assessments, and performance variance reviews.
  • Developed insightful presentations and assisted in due diligence activities, including Form ECB submissions and liaising with banking institutions.
  • Utilized financial modeling techniques such as Net Present Value (NPV) and Internal Rate of Return (IRR) to support strategic financial decisions.
  • Evaluated funding options and negotiated terms with financial institutions to optimize cost-effectiveness and align with corporate financial strategies.
  • Monitored cash flow and liquidity positions to ensure financial stability and effective management of operational expenses.
  • Conducted risk assessments related to financing decisions, providing management with insights to mitigate potential financial risks.
  • Prepared detailed financial reports for stakeholders, highlighting key metrics and trends to inform strategic planning and investment decisions.
  • Collaborated with cross-functional teams to align financial goals with business objectives, ensuring cohesive execution of financial strategies.

Finance Analyst at Gyandhan Financial Services Pvt. Ltd., New Delhi

October, 2021 - December, 2022

  • Oversaw accounts payable and receivable, ensuring accurate and timely updates in Tally while maintaining GST and TDS compliance through regular audits.
  • Compiled and presented monthly MIS reports, interpreting financial data to provide strategic insights for senior leadership.
  • Performed financial risk evaluations and implemented mitigation plans, working closely with internal teams to enhance financial planning and forecasting.
  • Optimized cash flow management by monitoring receivables and payables, ensuring timely collections and vendor payments.
  • Conducted variance analysis to compare actual financial performance against forecasts and budgets, recommending corrective actions.
  • Enhanced financial reporting accuracy by reconciling accounts, ensuring compliance with accounting standards and regulatory requirements.

Assistant Manager - Finance at Pyoginam Pvt. Ltd., Gurugram

August, 2019 - September, 2021

  • Prepared detailed costing sheets, analyzing cost structures and optimizing financial efficiency for better decision-making.
  • Led statutory audit preparations, ensuring compliance with regulatory standards and coordinating with auditors for smooth financial audits.
  • Managed GST and TDS compliance, overseeing timely filings, reconciliations, and regulatory reporting to avoid penalties and ensure legal adherence.
  • Monitored financial transactions, ensuring accuracy in accounting records and adherence to company financial policies.
  • Collaborated with cross-functional teams, providing financial insights to improve budgeting, forecasting, and operational cost control.

Education

Professional Degree (Chartered Accountancy)

The Institute of Chartered Accountant of India

2019


Diploma (Commerce (Honours))

Delhi University

2015


12th Central Board of Secondary Education

2012


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JATIN ANAND

Contact Details


jatinanand12343@gmail.com

New Delhi, Delhi, 110008, India

Basic Details


Gender -

Male

Date of Birth -

1994-11-08

Marital Status -

Married

Languages


English


Hindi


Skills


Microsoft Office - (Microsoft Word, Excel, PowerPoint)


Busy


Tally