We are seeking a detail-oriented MIS Executive with strong analytical skills and expertise in financial reporting to join our team. The ideal candidate will be responsible for creating comprehensive financial reports, managing cash flow analysis, and providing critical business insights through advanced data analysis.
Key Responsibilities
Financial Reporting & Analysis
Prepare accurate and timely financial reports including P&L statements, balance sheets, and variance analysis
Generate monthly, quarterly, and annual financial summaries for management review
Analyze financial data to identify trends, patterns, and areas for improvement
Create detailed cash flow statements and cash flow projections
Monitor and analyze cash inflows and outflows across different business segments
Prepare aging reports for accounts receivable and payable
MIS Reporting & Data Management
Develop and maintain comprehensive MIS reports using advanced Excel functions
Create automated dashboards and templates for regular reporting requirements
Ensure data accuracy and integrity across all reporting systems
Generate ad-hoc reports as requested by management
Maintain databases and ensure timely data entry and updates
Strategic Support
Provide analytical support for business decision-making processes
Assist in budget preparation and variance analysis
Support month-end and year-end closing activities
Collaborate with different departments to gather relevant data and insights
Required Qualifications
Educational Background
Bachelor of Commerce (B.Com) degree from a recognized university
Strong foundation in accounting principles and financial management
Experience Requirements
2-3 years of relevant experience in MIS reporting and financial analysis
Proven track record in creating financial reports and cash flow statements
Experience in working with large datasets and complex financial models
Technical Skills
Advanced Excel proficiency
including:
Pivot tables and advanced formulas
VLOOKUP, INDEX-MATCH, and complex functions
Data validation and conditional formatting
Macro development and automation
Financial modeling and scenario analysis
Strong understanding of accounting software and ERP systems
Proficiency in data analysis and visualization tools
Core Competencies
Excellent analytical and problem-solving abilities
Strong attention to detail and accuracy in data handling
Ability to work with tight deadlines and manage multiple priorities
Good communication skills for presenting findings to stakeholders
Self-motivated with ability to work independently
Preferred Qualifications
Experience with accounting software like Tally, SAP, or similar ERP systems
Knowledge of data visualization tools (Power BI, Tableau)
Understanding of taxation and compliance requirements
Previous experience in cash flow management and working capital optimization
What We Offer
Salary Range:
?20,000 - ₹30,000 per month (based on experience and skills)
Opportunity to work with a dynamic team
Professional growth and development opportunities
Comprehensive learning environment
Note:
Only candidates meeting the specified experience and technical requirements will be considered for this position. Immediate joiners preferred.
Job Types: Full-time, Permanent
Pay: ₹20,000.00 - ₹30,000.00 per month
Work Location: In person
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