We are a diverse international team of extremely talented and capable individuals who work together to exceed the clients' expectations, on every element of every contract. It's our #Changemakers that have made the Renoir Group the success that it is today. As a business with an instinct for delivery and improvement, Renoir is always aware that we must constantly look towards the future and develop the talent that will drive the business forward. It's vital to recruit, develop, reward and inspire the people whose ideas, ambitions and energy constantly refresh Renoir's competitive edge.
WHAT YOU WILL DO
To be a part of the
Treasury and Banking function
activities included will be:
+ Working capital management which will require fund movement from one country to another.
+ Connecting with various Banks Globally and completion of all Bank related compliance.
+ Devising Projected Cash flow report on weekly basis.
+ Overview Foreign remittances.
+ Reviewing the related accounting entries passed in SAP.
+ Review and ensure application of appropriate internal controls within team. To be part of the
Taxation and Compliance team
and responsible for
Execution of Global direct taxes which includes annual corporate tax returns, Advance tax returns and payments on monthly/Quarterly/yearly basis as is applicable in different countries.
Execution of Global indirect taxes which includes GST/VAT/SST returns and payments on monthly/Quarterly/yearly basis as is applicable in different countries.
Secretarial compliances and local compliances as is applicable in various countries.
Producing monthly compliance Execution report to management.
Co-ordinating with various Tax firms Globally for execution of above activities.
Reviewing the related accounting entries passed in SAP
Tracking compliances with local laws and adherence to disclosures required on a global basis.
Tax compliance as well as ensuring timely settlement on tax dues. Compliance again on a global basis.
Co-ordinate with the Tax Manager with regard to the Tax Treaty issues
Manage the banking, treasury, and forex positions of the Group.
WHAT WE OFFER
The position is based at our Global payroll office in Kandivali East, Mumbai. We are present in over 20 countries.
We offer you a chance to work on payroll, relevant taxation and payments for multiple countries.
We offer competitive salary structures, fast track career progression, based on your capabilities, and unrivalled opportunities to learn and develop yourself both professionally and personally.
YOU WILL HAVE
B. Com / M. Com degree with at least 2 to 7 years of experience in handling the above tasks
Excellent communication skills
Proficient in Microsoft Excel, Word, other relevant financial tools
SAP Knowledge will be an added advantage.
Experience in Companies with Multi countries operations preferred.
YOU MIGHT ALSO HAVE
CA Inter/ICWA Inter or MBA Finance degree
DEVELOPMENT AND PROGRESSION
We offer a chance to develop and grow within the global Finance office, with expertise in various aspects of different countries financial taxes and laws.
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