Develop financial plans, budgets, and forecasts to support long-term business goals. Analyze financial data to identify trends, assess risks, and inform decision-making.
Reporting:
Preparation of financial statements and reports, presenting them to senior management and stakeholders.
Compliance and risk management:
Ensure compliance with financial regulations, standards, and tax requirements. Manage investments and financial risk.
Cash flow management:
Monitor and manage the company's cash flow, ensuring financial stability.
Financial operations:
Oversee daily financial operations, including accounts payable and receivable, and perform account reconciliations.
Strategic collaboration:
Work with other departments to align financial goals with overall business objectives. Provide financial guidance and support to other members of the organization.
Stakeholder relations:
Act as a liaison with external partners, such as lenders, investors, and regulatory bodies.
Skills and qualifications:
Bachelor's/master's degree in finance, Accounting, or a related field.
Proven relevant experience of
2 to 4 years in finance or accounting role.
Strong knowledge of financial principles, regulations, and accounting software preferably Zoho books.
Proficiency in Microsoft Excel and other financial software.
Excellent analytical, problem-solving, and communication skills.
* Attention to detail and the ability to meet deadlines
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