Oversee day-to-day financial operations including accounting, budgeting, and financial reportingEnsure timely and accurate preparation of financial statements in compliance with applicable accounting standardsManage statutory audits, tax audits, and internal audits in coordination with auditorsEnsure compliance with direct and indirect tax regulations including GST, TDS, and Income TaxMonitor cash flow, working capital, and fund management to ensure financial stabilityPrepare and analyze MIS reports, cost reports, and variance analysis for managementCoordinate with banks and financial institutions for funding, LC, BG, and other financial instrumentsReview and manage payroll processing, vendor payments, and receivablesEnsure accurate maintenance of general ledger, fixed assets, and inventory recordsDrive process improvements and implement internal controls to mitigate financial risksSkills Required
Financial Reporting, Accounting Standards, audit management, Gst, Tds, Income Tax