Role & responsibilities
Prepare budgets, forecasts and cash flows
- Prepare & analyse Financial modelling
- Ensure that appropriate systems and internal controls are implemented and maintained
- Produce Ontime statutory and internal financial reports
- Prepare and reconcile monthly profit and loss accounts, balance sheets and cash flow statements for multiple entities across multiple locations.
- Preparation of MIS, financial statements and drive the book closure & audit activities.
- Manage and drive output from the Financial and Corporate Accounting functions to ensure that deadlines and timelines are met, including : 1. All aspects relating to the preparation of the monthly management accounts 2. All GL, Revenue, Cash and bank reconciliations 3. Capex utilization compared to budgets 4. Monthly reports for the Finance, Investment and Audit Committee and the Board
- Prepare a detailed analysis of the management accounts identifying key variances from budget for inclusion in the monthly Finance report (MIS)
- Recommend changes that will improve the company's financial performance and financial controls
- Provide high-level advice to Senior Managers on all financial management and accounting issues
- Financial forecasting for new projects & arrangement of funds
Skills & Competencies Required :
Financial controlling and allocation of the verticalFinancial reporting external and Internal verticalProcess and SOPs implementationAudit and Compliance check for verticalPeople ManagementQualification :
Graduation in commerce and CA or ICWA (intermediate) or MBA Finance or a related field.Minimum of 6 to 8 years of experienceSpecific / relevant experience of 3 to 4 yearsSkills Required
Financial Modelling, Forecasting, Financial Forecasting