- Manage the companys overall finance and accounting functions ensuring accurate bookkeeping and timely financial reporting.
- Prepare monthly quarterly and annual financial statements MIS reports budgets and cash flow forecasts.
- Monitor receivables payables working capital and treasury operations to maintain healthy cash flow.
- Ensure compliance with statutory requirements including GST TDS Income Tax Companies Act audits and other regulatory filings.
- Coordinate with external auditors bankers consultants and government authorities on finance-related matters.
- Analyze business performance profitability inventory valuation and operational costs providing recommendations to management.
- Establish and strengthen internal controls financial policies and processes to safeguard company assets and minimize risks.
- Lead and develop the finance and accounts team while supporting strategic business decisions through financial insights and data analysis.
Required Skills:
Accounting Budgeting Taxation Finalization of Accounts Banking Receivables Payables
Required Education:
Post Graduation in Accounts
Employment Type : Full Time
Experience: years
Vacancy: 1
Monthly Salary Salary: 10 - 12