Assist in preparation of budgets, forecasts, and long-term financial plans.
Analyze financial data, variances, and trends to support business decisions.
Provide insights on risks, profitability, and performance to management.
Accounting & Compliance:
Support day-to-day accounting operations (AP, AR, GL, payroll).
Assist in closing of books and preparation of financial statements.
Ensure compliance with Companies Act, Income Tax, GST, and other statutory requirements.
Maintain reports and presentations using Excel, Word, and PowerPoint.
Costing & Cost Control:
Monitor cost centers, working capital, and operating expenses.
Work with operations/plant teams on cost analysis, inventory valuation, and pricing.
Assist in implementing cost-saving measures.
Taxation:
Assist in preparation and filing of GST, TDS, and corporate tax returns.
Coordinate with tax consultants for audits and assessments.
Banking & Treasury:
Support cash flow and fund flow management.
Assist in documentation for LC/BG issuance and banking compliance.
Audit & Controls:
Coordinate with internal/statutory auditors during audits.
Help establish internal controls and adherence to SOPs.
Stakeholder Coordination:
Work closely with CFO and finance team in strategic finance decisions.
Liaise with auditors, banks, and regulatory authorities when required.
Job Type: Full-time
Benefits:
Health insurance
Provident Fund
Work Location: In person
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