Responsibilities
- Coordinate annual Opex, Capex Budgets Preparation, finalization, approval and periodic reviews.
- Monitor and analyze monthly, quarterly and annual revenue & profit performance, identify gaps & suggest corrective actions to management.
- Support to biz. for evaluation of CAPEX decision.
- Ensure monthly MIS preparation & co-ordinate review by biz.
- Ensure Preparation of Financial statements & review of the same.
- Analysis of expenses / receivable and suggest corrective measures.
- Cash Flow Management & short-term investment decisions
- Ensure compliance to internal audit observations & strengthen internal controls.
- Ensure completion of statutory audits as per schedule and take actions on audit observations.
- Ensure statutory compliances i.e. Service Tax, EPCG redemption.
- Motivate the team through employee communication and coaching.
- Keep abreast with the latest developments in the field of Finance and embrace the modern technology in line with the requirements of the Department.
Qualifications
EDUCATIONAL QUALIFICATIONS : -
CA / MBA / ICWARELEVANT EXPERIENCE : -
5 + years of experienceExperience in managing F & A in a large setupShould have experience in preparing balance sheet and handling statutory audits in the companySkills Required
Cash Flow Management, Mis Preparation, Statutory Audits