AVP Finance & Strategy
- General accounting, periodic closure, revenue reporting and compliances, revenue assurances, audits and management reports.
- Manage billings and collections, end- to- end bill to cash with AR. Invoicing and collection recons, payments identification and clearing up suspense acc.
- Monitor debtors ageing.
- Ensure smooth flow of process for overdue.
- Manage and track invoicing by the team, and remittances for Reinsurance business.
- Manage direct and Indirect taxation, ensure tax and regulatory payments, returns and filings are up to date and compliant.
- Monitor regular bank reconciliations with other Banking/ treasury activities.
- Project cash flows.
- Monitor cash flow targets as per plan.
- Monitor regulatory violations, and internal controls. Monitor branch and segment profitability.
- Manage business cases for high- cost items, work for cost optimization.
- Actively participate in business reviews, as required.
- Coordinate and implement accounting projects as assigned.
- Coordinate for systems and tools implementation in line with global and Indian standards.
- Prepare ad- hoc reports, presentations, recon, and trackers.
- Coordination with teams.
- Support the CFO to achieve Finance & Strategy and wider team objectives.
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