As a Finance Analyst you play a pivotal role by supporting your team with timely, accurate and insightful analysis to enable effective decision making by key stakeholders and business partners. You support the coordination and development of operating plans that underpin strategic business unit goals, and apply your sound analytical skills to share insights and recommendations into financial status and performance.
You have lots of initiative with a strong desire to help tackle strategic issues relating to its operational performance and estimated financial trajectory. You enjoy working independently as well as part of a team to stimulate behaviours that drive value and achieve strategic objectives.
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Key Responsibilities :
Qualifications & Skills
Qualified chartered accountant with 4 to 7 years or CA Inter qualified with 10 to 15 years of experience.
4 years of relevant experiences in finance operations, preferably in a multinational environment.
Strong understanding of Indian indirect and direct tax regulations.
Must have in-depth knowledge of SAP, including hands-on experience with key modules, system configuration, and business process integration.
Strong understanding of SAP best practices, with the ability to troubleshoot, optimize, and support SAP solutions.
Experience in end-to-end SAP implementation and/or support projects is highly desirable.
Ability to collaborate with cross-functional teams to translate business requirements into SAP solutions.
Proficiency in Concur, and advanced Excel; Power BI is a plus.
Excellent communication and stakeholder management skills.
Accounts Payable & Expense Management
End-to-end processing of vendor invoices, including PO matching, GRN validation, and payment scheduling.
Ensure accurate GST and TDS application, and timely remittance and reporting.
Monitor Concur workflows for employee reimbursements and vendor payments, ensuring policy adherence and resolving exceptions.
Coordinate with SEZ billing teams for timely endorsement and payment processing in compliance with RBI guidelines.
Maintain audit-ready documentation and support internal controls testing.
Fixed Asset Management
Post monthly depreciation entries in line with accounting standards and internal policies.
Maintain and reconcile the Fixed Asset Register (FAR) with the General Ledger (GL).
Conduct periodic physical verification of assets and document findings.
Manage asset write-offs and disposals with appropriate accounting treatment and approvals.
Support auditors with asset-related schedules and reconciliations.
Taxation & Compliance
Ensure invoices are GST-compliant with correct HSN/SAC codes.
File monthly and annual GST returns and reconcile with GSTR-2A/2B.
Deduct and deposit TDS as per applicable rates.
File TDS returns (Form 26Q, 27Q) and issue TDS certificates (Form 16A).
Reconciliation of GST Returns with Books of Account on period basis.
Reconciliation of TDS Returns with Books of Account on period basis.
Coordinate with internal and external tax teams for filings, assessments, and disclosures.
Audit Support
Prepare and compile documentation for statutory and tax audits.
Respond to auditor queries and ensure timely submission of supporting documents.
EDPMS & SEZ Compliance
Monitor and manage EDPMS entries for cross-border payments and ensure timely closure.
Facilitate invoice endorsement processes for SEZ units in line with SEZ and RBI regulations.
Cash Flow & Treasury Management
Prepare cash flow projections to support working capital requirements.
Identify surplus cash and coordinate with treasury for parking in fixed deposits.
Financial Analysis & Reporting
Support budgeting and forecasting cycles with AP and asset-related insights.
Prepare variance analyses and commentary for international revenue and margin streams.
Assist in preparing financial packs and disclosures for internal and external stakeholders.
ERP and Automation
Oversee the use and optimization of ERP systems - Sapphire
Drive automation initiatives to improve efficiency and accuracy
Why Join Us
Be part of a dynamic, agile finance team supporting strategic decision-making across global missions.
Gain exposure to international finance, tax compliance, treasury operations, and digital tools.
* Opportunities to grow into broader FP&A or controller roles.
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