Job Summary: Oversee and manage all aspects of the organization\'s financial activities, contributing to its overall financial health and strategic direction. Key Responsibilities: Financial Planning and Analysis: Develop and implement financial strategies, plans, and policies. Conduct financial analysis and provide insights for strategic decision making. Budgeting and Forecasting: Lead the annual budgeting process, monitoring and analyzing budget variances. Prepare periodic financial forecasts. Financial Reporting: Oversee the preparation of accurate and timely financial reports. Ensure compliance with accounting standards and regulatory requirements. Taxation: Manage all aspects of taxation, including direct and indirect taxes. Stay updated on changes in tax laws and implement necessary adjustments. Audit and Compliance: Coordinate and manage internal and external audits. Implement and monitor internal controls. Cash Management: Monitor and manage cash flow for day to day operations and strategic initiatives. Optimize working capital and minimize financial risks. Team Leadership: Build and lead a high performing finance team. Provide guidance and mentorship, fostering a collaborative work environment. Relationship Management: Collaborate with external stakeholders, including banks, auditors, and regulatory bodies. Build and maintain strong relationships with internal departments. Skills: Proficient in Excel, Tally, and other accounting related software. Qualifications and Requirements: \xc2\xb7 Bachelor\xe2\x80\x99s degree in accounting, Finance, or a related field preferred. \xc2\xb7 Experience 1-10 year in accounting role. Job Types: Full-time, Permanent Salary: \xe2\x82\xb910,000.00 - \xe2\x82\xb915,000.00 per month Benefits:
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