Financial planning, budgeting, forecasting, and variance analysis
P&L and Balance Sheet preparation and analysis
Cash flow planning and working capital management
Financial modeling and business performance reporting
Fundraising activities (Debt, Equity, Working Capital, VC funding)
Investor presentations, pitch decks, and valuation support
Coordination with banks, NBFCs, lenders, and investors
ROI analysis, profitability analysis, and business planning
Financial reporting, compliance, and audit support
Leadership reporting and management presentations
Strong understanding of Corporate Finance and Financial Analysis
Expertise in P&L, Balance Sheet Analysis, and Financial Modeling
Fundraising and Investor Relations exposure preferred
Advanced MS Excel and PowerPoint skills
Financial reporting, forecasting, and budgeting expertise
Strong analytical, communication, and stakeholder management skills
CA / ICWA / MBA (Finance) preferred
3-7 years of experience in Finance / FP&A / Investor Relations / Strategic Finance
Startup or fundraising experience preferred
Strong ownership mindset with strategic thinking ability
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