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CT Automotive

Junior Cash Flow Manager

CT Automotive

Maharashtra, India
Full-Time
Posted 1 month ago

Job Description & Responsibilities

Position: Junior Cash Flow Manager

Experience: 1 to 3 years

Academic Requirement: CA-Inter, MBA, or equivalent qualification

Compensation: As per market standards

Hiring Manager: Gourav Arora

Location: Pune, India

Probation: 6 months

Skills

  • Strong analytical and problem‑solving skills.
  • High attention to detail and accuracy.
  • Good interpersonal and communication skills.
  • Proficiency in Excel and financial reporting tools.
  • Ability to work under pressure and manage multiple deadlines.

Others

Experience in cash flow management, financial consolidation, reporting in a multinational manufacturing environment.

Job Overview

CT Automotive Group is a UK‑headquartered supplier of high‑quality interior components to the global automotive industry, with manufacturing facilities in China, Turkey and Mexico. Based in Pune, the Junior Cash Flow Manager will support cash flow reporting and forecasting across these global sites, ensuring accuracy and timeliness of financial data to enable informed business decisions.

Job Roles & Responsibilities

Cash Flow Management

  • Assist in the collection of cash flow data from global manufacturing sites (China, Turkey, Mexico) and the UK head office.
  • Support consolidation of data into weekly and monthly cash flow reports.
  • Perform initial checks for accuracy and completeness of financial inputs.
  • Help prepare and update short‑ and long‑term cash flow forecasts.
  • Collaborate with finance teams and cross‑functional teams to ensure timely data submissions.

ABL Facility Support

  • Aid in the preparation of inventory and accounts receivable (AR) forecasts in line with ABL facility requirements.
  • Assist with the generation of weekly ABL reports for submission to FGI.
  • Ensure data collected meets compliance standards and internal policies.

Analytical & Coordination Tasks

  • Contribute to variance analysis of cash flow trends and highlight discrepancies.
  • Work with inventory, AP and AR teams to gather required data points.
  • Participate in the refinement of reporting templates and data automation tools.
  • Oversee plant‑level accounting operations to ensure accurate and timely month‑end close, compliance with financial policies, and integrity of financial reporting.
  • Intercompany reconciliation.

Knowledge & Exposure

  • Basic understanding of cash pooling, FX transactions, and hedge accounting.
  • Awareness of manufacturing finance operations.
  • Exposure to working in or with multinational environments is a plus.

Additional Requirements

  • Excellent fluency in English (verbal and written).
  • Flexible to travel occasionally to manufacturing plants (China, Mexico, Turkey).
  • Collaborative mindset and ability to work in cross‑cultural teams.
  • Timing shift 8 am to 5 pm or 1 pm to 10 pm India time.

Required Skills

ExcelCommunication

Job Details

Employment TypeFull-Time
Work ModeOn-Site
Experience13 years
Positions1

Posted by

N/A

Posted on:

1 Jul 2026

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