Job Description

Company Overview

Wings Global Services stands at the forefront of engineering innovation, providing multidimensional solutions that unite automation and cross-sectoral expertise. With a foundation of operational excellence, we offer transformative services across dynamic industries including oil & gas, manufacturing, IT, and modern infrastructure, all from our headquarters in Mumbai. We excel in creating future-ready talent equipped to navigate evolving technological landscapes. Learn more at Wings Global Services.


Job Overview

We are seeking a mid-level Finance Manager to join our team in Thane, Kalyan, and Mumbai. This full-time position requires expertise in budgeting, forecasting, and cash flow management. The ideal candidate will be a pivotal part of our financial operations, ensuring strategic investments and effective fund allocation align with our organizational growth and expansion plans.


Qualifications and Skills

  • Proven 3-5 year experience in budgeting, ensuring financial resources are allocated efficiently to drive enterprise objectives. (Mandatory skill)
  • Expertise in forecasting, enabling proactive planning and adaptability to market trends and business needs. (Mandatory skill)
  • Proficiency in managing cash flow to ensure the availability of funds and optimize business operations. (Mandatory skill)
  • Effective financial control skills to maintain organizational fiscal discipline and accountability.
  • Strong reporting capabilities, providing clear insights and comprehensive analysis of financial data.
  • Experience in strategic investment, facilitating informed decisions that enhance company growth.
  • Capability in fund allocation, ensuring resources are deployed to support operational priorities and innovation.
  • Proficiency in expansion planning, aligning financial strategies with long-term organizational goals.


Roles and Responsibilities

  • Oversee the budgeting process, ensuring alignment with strategic objectives and financial realities.
  • Manage the forecasting efforts to anticipate financial trends and advise on corrective strategies.
  • Ensure efficient cash flow management to support day-to-day operations and investment activities.
  • Develop and implement robust financial control systems to safeguard assets and optimize resource utilization.
  • Prepare and present periodic financial reports to stakeholders, providing clarity and actionable insights.
  • Assess and recommend strategic investments to support sustainable business growth.
  • Allocate funds effectively to prioritize initiatives that align with company goals and drive innovation.
  • Collaborate with executive leadership to plan and execute expansion strategies across industry sectors.

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