to manage end-to-end finance operations, ensure statutory compliance, and support leadership with accurate financial planning and reporting. The role requires strong hands-on expertise in accounting, taxation, treasury, and audits.
Key Responsibilities
Financial Planning & Analysis
Prepare budgets, forecasts, and MIS reports
Analyze financial data to support business decisions and cost control
Track KPIs and prepare management dashboards
Accounts Receivable & Payable
Oversee AR/AP functions and ensure timely collections and payments
Resolve reconciliation, billing, and vendor/client queries
Maintain aging reports and periodic summaries
Taxation & Compliance
Handle GST, TDS, Income Tax, and statutory filings
Ensure compliance with applicable tax laws and regulations
Coordinate with auditors and consultants
Treasury & Banking
Manage cash flow, fund planning, and bank operations
Handle domestic & international remittances and forex transactions
Liaise with banks for credit and financial arrangements
Audit & Controls
Manage internal and statutory audits
Maintain proper documentation and reconciliations
Strengthen internal control systems
Team Coordination
Guide junior finance staff
Work closely with sales, procurement, and management
Develop SOPs and improve ERP utilization
Eligibility Criteria
Graduate in Commerce / Finance (CA or MBA Finance preferred)
10-12 years of experience in finance & accounting
Experience in corporate or luxury retail sector preferred
Strong knowledge of Tally, ERP systems, advanced Excel, and cost accounting
Excellent analytical and leadership skills
How to Apply
Email CV:
rubina@mumbairozgaar.com
Call / WhatsApp:
9137006335
Job Types: Full-time, Permanent
Pay: ₹1,000,000.00 - ₹1,200,000.00 per year
Work Location: In person
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