Core Responsibilities:
Financial Record Keeping:
Maintaining accurate and up-to-date financial records, including recording transactions, reconciling accounts, and managing accounts payable and receivable.
Financial Statement Preparation:
Preparing balance sheets, income statements, cash flow statements, and other financial reports.
Budgeting and Forecasting:
Developing and managing budgets, forecasting revenues and expenses, and monitoring financial performance against budget.
Tax Planning and Filing:
Preparing and filing tax returns, ensuring compliance with tax laws and regulations.
Auditing and Compliance:
Conducting internal and external audits, ensuring compliance with financial regulations and reporting standards.
Financial Analysis:
Analyzing financial data, identifying trends, and providing insights to management for strategic decision-making.
Other Key Responsibilities:
Cost Management:
Monitoring and analyzing business costs, identifying areas for potential cost reduction.
Payroll Processing:
Managing payroll functions, including calculating wages, deductions, and taxes.
Risk Analysis:
Evaluating potential financial risks and developing strategies to mitigate them.
Financial Strategy:
Providing financial advice and guidance to management on various financial matters.
Internal Controls:
Ensuring the effectiveness of internal controls to safeguard company assets and prevent fraud.
Communication:
Effectively communicating financial information to various stakeholders, including management, investors, and regulatory bodies.
Staying Updated:
Keeping abreast of changes in accounting standards, tax laws, and other relevant regulations.
Job Types: Full-time, Permanent
Pay: ?18,500.00 - ?20,000.00 per month
Benefits:
Flexible schedule
Schedule:
Day shift
Work Location: In person
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