Job Responsibilities:
Lead preparation of monthly, quarterly, and annual financial reports and presentations, delivering
strategic insights and recommendations to the Management.
Oversee all aspects of accounting operations including journal vouchers, credit/debit notes,
expense booking, and ensure compliance with internal controls.
Establish and continuously refine accounting policies, systems, and processes, scaling the finance
function as the company grows.
Supervise transactions across general ledger, receivables, payables, payroll, and statutory financial
reporting.
Ensure timely and accurate GST/TDS return filing and compliance with all statutory requirements.
Direct asset management, including acquisition, tracking, depreciation schedules, and disposal
reporting.
Guarantee timely completion and submission of annual tax reports to the authorities; lead
payments of TDS and GST to respective institutions.
Oversee filing of finance-related documents and manage accurate data collection for invoicing and
audit readiness.
Perform and review bank statement reconciliations to ensure accuracy of cash flow reporting.
Conduct credit card reconciliations and oversee expense tracking for compliance and accuracy.
Lead costing and budgeting processes, including variance analysis, cost optimization strategies, and
profitability assessments.
Provide financial risk analysis, scenario planning, and options briefings to management for
informed decision-making.
Partner with procurement and operations to align financial planning with asset management and
resource allocation.
Mentor and develop the finance team, building a high-performing department aligned with
organizational goals.