Oversee day-to-day accounting operations including AP, AR, bank reconciliation, general ledger, and payroll.
Ensure accurate and timely monthly, quarterly, and annual financial statements.
Maintain and monitor cash flow, fund flow, and working capital.
Manage closing of books of accounts and ensure accuracy in financial reporting.
Budgeting & Financial Planning
Prepare annual budgets, forecasts, and variance analysis.
Provide financial insights to management for strategic decision-making.
Track company performance against budget and highlight deviations with actionable recommendations.
Taxation & Compliance
Ensure compliance with all statutory requirements including TDS, GST, PF, ESIC, Professional Tax, Income Tax, and ROC filings.
Coordinate with auditors for internal and statutory audits.
Handle tax assessments, returns, and liaison with regulatory authorities. Internal Controls & Process Improvement
Develop and implement financial policies, systems, and controls.
Identify opportunities for cost optimization and efficiency improvement.
Ensure adherence to accounting standards and internal financial protocols.
Vendor & Banking Relations
Manage vendor payments and maintain healthy vendor relationships.
Handle banking operations including fund transfers, loan documentation, and reconciliation.
Liaise with banks and financial institutions for credit facilities, LC/BG, and related requirements.
Qualifications & Experience:
Master's degree in Commerce, Finance, or Accounting (B.Com / M.Com / MBA Finance).
CA / CMA qualification preferred.
7-12 years of progressive experience in finance and accounts, including managerial experience.
Strong knowledge of accounting principles, taxation laws, and financial reporting standards.
Proficiency in Tally / SAP / ERP systems and MS Excel.
Job Type: Full-time
Pay: Up to ₹60,000.00 per month
Work Location: In person
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