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Financial Controller
Taj Hotels
naukri
New Delhi
6-11 years
Not Disclosed
Full time
13 April 2026
Top Skills:
Financial StatementsCash ManagementTaxationForecastingFinancial PlanningVariance AnalysisReconciliationBudgetingCash FlowFinancial ReportingAccount ReconciliationAccountingBalance Sheet AnalysisBudgetingCashCash FlowCash ManagementCentricityComplianceCost ControlCost OptimizationFinancial Planning And AnalysisFinancial ReportingForecastingFutureHospitalityKey Performance IndicatorKpisOperational EfficiencyRevenue GrowthShapingTaxationVariance Analysis

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Job Description iconJob Description
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About IHCL

Indian Hotels Company Limited (IHCL) is a part of the Tata Group and is one of South Asias largest and most iconic hospitality companies. With a legacy of over 120 years, we are dedicated to delivering exceptional experiences to our guests through our diverse portfolio of hotels, resorts, and palaces.

Careers at IHCL

At IHCL, we believe our employees are our greatest asset. We are committed to fostering a dynamic work environment that encourages innovation, collaboration, and personal growth. Join us in creating memorable experiences and shaping the future of hospitality. Explore exciting career opportunities with us and be a part of a vibrant team that values passion, excellence, and diversity.

Job Objective

For overseeing all financial aspects of the hotel, including budgeting, forecasting, financial planning and analysis, and internal controls. Providing strategic financial guidance and implementing sound financial practices.

Essential Job Tasks

Implementation of the companys accounting policies and processes, and complying with taxation, commercial, and statutory norms. Account reconciliation, budgeting, forecasting, balance sheet analysis, and weekly and monthly financial reporting.

Areas of Responsibility

Prepare accurate and timely financial reports, including monthly financial statements, variance analysis, and key performance indicators (KPIs), for senior management and corporate headquarters.

Monitor cash flow projections and liquidity requirements, optimize cash resources, and implement cash management strategies to ensure adequate funding for pre-opening activities and ongoing operations.

Implement cost control measures and monitor expenses to ensure adherence to budgetary constraints and maximize profitability while maintaining high-quality standards.

Develop and recommend financial strategies and initiatives to drive revenue growth, cost optimization, and operational efficiency, in collaboration with cross-functional teams.

Lead and mentor finance team members, providing guidance, coaching, and support to foster their professional development and ensure high performance.

Required Qualifications

CA/Mcom/Diploma in Finance

Work Experience

4-6-Years

Languages Needed in Position

English

Key Interfaces- External

Vendors, Govt Compliances

Key Interfaces- Internal

Finance function

Behavioural Competencies
Process Excellence
Result Orientation
Collaborative Engagement
Change Championship
Growth Mindset
Talent Enrichment
Guest Centricity
Personal Effectiveness

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