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Careers in Corporate Finance

Corporate finance is the area of finance that deals with the arrangement of funds for various projects at the lowest possible cost, allocation of financial resources, investment, and monitoring of the allocated funds. As a professional in corporate finance, you will be responsible for maintaining the capital structure of the company and expanding the business. There are several different career paths in the area of corporate finance because of the variety of roles that it offers. You can build a successful career as an analyst, treasurer, controller, financial analyst, etc.

Let us understand some of the job profiles in details:

Financial Planning & Analysis

FP&A team is responsible for creating budgets and forecasts, including the short and long-term projection of earnings and capital over varying economic scenarios. FP&A operates in close cooperation with firmwide groups in each line of business to prepare management reports and presentations. They perform extensive quantitative and qualitative analysis of business developments, company performance, economic trends, investments, expenses, taxes, etc. to evaluate the company’s growth and formulate strategies for future.

Job Description:

  • Serve as a liaison between different lines of business, functional finance teams and other support teams to provide impactful reporting, planning and insightful analyses.
  • Deliver presentations, analysis and supporting materials for key internal clients including senior management.
  • Develop, consolidate, and present insightful and robust qualitative and quantitative financial analysis including annual budget, quarterly/monthly forecast variances.
  • Create, maintain, and review financial models and analyses.
  • Conduct thorough analyses on key issues impacting client to determine root cause and propose solutions
  • Build and maintain strong relationships with key business stakeholders
  • Evaluate historical results against budgets and forecasts, and performing variance analysis to describe differences in performance
  • Examine and evaluate the cost-efficiency of each department of the company and determine which of the company’s products or product lines are most profitable.

Educational and other requirements:

  • Bachelor’s degree in Finance, Economics, Accounting.
  • CFA, CPA, MBA in Finance are highly preferred.
  • Ability to work in a fast paced, results driven environment.
  • Ability to comprehend and clearly communicate complex concepts and maintain composure in a fast-paced, dynamic environment.
  • Strong quantitative, analytical, and problem-solving skills.
  • Excellent organizational, management, and both verbal and written communication skills.
  • trong technical and analytical skills, including Excel, PowerPoint, Essbase, Visual Basic and macros, etc.
  • Detail oriented with the ability to work well under pressure, handling multiple projects and initiatives simultaneously.


Treasury management jobs involve managing cash for day-to-day operations while keeping long-term strategy in mind. They ensure efficient management of cash and financial risk in a business. Treasury teams are responsible for cash management, short-term investments, liquidity management, foreign currency exchange, hedging, buying and selling derivatives contracts, insurance, and issuing debt and equity.

Job Description :

  • Responsible for liquidity and cash management which includes planning, cash flow monitoring, managing bank accounts, ensuring optimum utilization of funds including investment management.
  • Relationship management with various lenders/bankers/investors/credit rating agencies/ trustees/lawyers etc.
  • Structuring and executing various structured finance deals.
  • Handling financial due-diligence and interfacing with investment bankers/due- diligence firm/investors.
  • Financial modelling in lines with the current and proposed business and operational strategy.
  • Preparing loan proposals and Credit Monitoring Arrangement data.
  • Reporting to investors/lenders/other stakeholders.
  • Ensuring best practice treasury controls are in place and are in compliance with the regulatory guidelines.
  • Preparing various MIS reports for the Management and ensuring accurate accounting of treasury operations.
  • Debt/Liability management for the Company and dealing in money market instruments.

Qualification and Skills required:

  • Bachelor's degree in mathematics, computer science, or finance.
  • Chartered Accountants are preferred.
  • Excellent analytical, quantitative, interpersonal, and organizational skills.

Investor Relations

Investor relations controls the exchange of information between a public company, its investors, and the stakeholders. Investor relations functions require finance, marketing, and communication skills. These professionals are responsible for maintaining good and transparent relations with the investors.

Job Description :

  • Serve as the primary spokesman for the Company by communicating the Company’s financial and operational performance and business outlook to current and potential investors.
  • Manage the company’s relationships with institutional investors and sell-side analysts by providing clear, accurate and confident communications.
  • Responsible for creating and delivering all investor relations materials, including earnings releases, investor conferences, etc.
  • Develop ideas for improving investor relations and increasing the effectiveness of communications.
  • Provide feedback and insight to senior and operations management on investor sentiment and industry conditions.
  • Provide feedback to senior management as to the expected reaction from the investment community from proposed transactions, corporate planning/budgeting and operating results.
  • Provide information to the Company’s Board of Directors on a regular basis on investor activity, stock performance, peer company comparisons, etc.


Controllers work directly under a company’s Chief Financial Officer. They provide key financial information and highlight challenges and opportunities for future strategies. They are responsible for monitoring the completion of internal control audits and developing and executing strategies for day-to-day operations of the finance team. Controllers generally have years of accounting or auditing experience.

Qualification and Skills required:

  • Bachelors' degree in Finance or Accounting.
  • Masters' degree in finance will be added advantage.
  • Excellent communication and relationship management skills.
  • Strong analytical skills and skilled in planning, organization, and project management.
  • Ability to persuasively present information with a high level of accuracy.

Job Description

  • Liaising with auditors and support Legal Entity Controllers in control audit.
  • Support senior management team in decision process by analyzing financial performance.
  • Maintain and develop relationship with onshore partners and business.
  • Implement internal controls policies and procedures to mitigate financial and business risks.
  • Daily monitoring and control of activities involving reconciliations.
  • Lead and manage all aspects of accounting, compliances, and controls.

Qualification and Skills required:

  • Chartered accountant or MBA in Finance are preferred.
  • Working experience in the areas of account & finance, treasury, merger & acquisition, fund raising and investment banking, deal structuring etc.
  • Strong numeric ability, analytical skills, and eye for detail.
  • Proven team leader with robust business understanding, and strategic thinking in a high-growth and fast-paced environment.
  • Excellent communication written and verbal skills and can effectively work with promoters, investors, and customers.

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