
Naveen N
CFO Financial MIS Budgeting Forecasting
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Portfolio
Work experience
CHIEF FINANCIAL OFFICER -R G STONE HOSPITALS
Hospital • Full-time
Dec 2021 - Feb 2026 • 4 yrs 2 mos
As Chief Financial Officer at RG Stone Urology & Laparoscopy Hospitals, I led a 23-member team and managed end-to-end finance operations, including accounting, budgeting, audits, reporting, taxation, and regulatory compliance. I spearheaded Big Four due diligence, supported discussions with private-equity investors, strengthened internal controls and SOPs, and provided financial modeling, MIS, and strategic insights to senior leadership. I also led transformation and cost-optimization initiatives to improve profitability, governance, and scalable growth across hospital units.
CHIEF FINANCIAL OFFICER
Sarvodaya Healthcare • Full-time
Feb 2018 - Aug 2021 • 3 yrs 6 mos
As Chief Financial Officer at Sarvodaya Hospital & Research Centre, I managed a 62-member team and oversaw financial reporting, budgeting, cash-flow planning, billing, credit control, and collections. I prepared financial statements and management presentations for board meetings, coordinated with banks to secure credit facilities for expansion, and led a brand-valuation exercise supporting private-equity fundraising. I also conducted department-, service-line-, procedure-, and panel-wise costing analyses to strengthen profitability and financial decision-making.
CHIEF FINANCIAL OFFICER
Rajiv Gandhi Cancer Institute and Research Centre • Full-time
Dec 2011 - Jan 2018 • 6 yrs 1 mo
As Chief Financial Officer at Rajiv Gandhi Cancer Institute & Research Centre, I led a 31-member team and managed accounting, budgeting, audits, taxation, treasury, and statutory compliance. I prepared financial reports and agendas for Governing Council, Audit Committee, and Project Committee meetings and provided strategic recommendations to management and departmental heads. I also conducted feasibility studies for major medical-equipment investments, negotiated commercial and vendor contracts, strengthened internal controls, developed SOPs, and ensured adequate liquidity through effective cash-flow and treasury management.