Description:
- Maintain accurate and up-to-date accounting and financial records.
- Prepare monthly, quarterly, and annual financial statements and reports.
- Monitor cash flow, budgeting, and expense management.
- Ensure timely compliance with GST, TDS, and Income Tax regulations.
- Adhere to company law and statutory filings with regulatory authorities.
- Develop financial projections, business plans, and strategic budgets.
- Advise founders on fund utilization, burn rate, and financial planning.
- Support fundraising activities and provide investor-ready financial documentation.
- Identify opportunities for cost optimization and profitability enhancement.
- Establish and monitor internal control systems to safeguard assets.
- Ensure compliance with all legal and regulatory requirements.
- Guide on company valuation, equity structuring, and ESOP planning.
- Analyze financial data to support strategic decision-making.
- Coordinate with banks, investors, auditors, and other stakeholders.
- Provide tax planning strategies to optimize the companys financial efficiency.
- Support business expansion, financial forecasting, and scaling strategies.
- Assist in mergers, acquisitions, or exit planning to ensure financial due diligence.
- Act as a trusted financial advisor to the founders and management team.
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