12/09 Nishtha Maheshwari
HR Consultant at Trio Talent Search

Views:3970 Applications:232 Rec. Actions:Recruiter Actions:16

Financial Analyst - BFSI (1-3 yrs)

Delhi NCR Job Code: 742809

1. FP&A/ Financial Analysis and Reporting:

- Have an Analytical bent of mind, to independently do adhoc analysis on financial as well as business data to support business critical projects.

2. Accounting Control Function:

- A/R-Monitoring.

- Scrutiny of Debtors a/c & Reconciliation.

- A/P Controlling on Advance Payment & Bill Booked in A/cs.

- All GL Scrutiny.

- Business data analytics.

- Maintenance of books of accounts as per relevant standards & rules.

- Preparation of MIS as per business needs.

- Preparation of Budgets & Variance Analysis.

- Presentation of Financial Statements as per Companies Act.

3. Closing of Monthly & Yearly Books of Accounts.

- Scrutiny of Monthly Trial Balance& Preparation of

- Cash Flow Statement with Profit & Loss a/c including all provisions.

- Supervision & Scrutiny of Statutory liabilities i.e. GST, TDS, ESIC /PF.

- Capitalization of Fixed Asset & Depreciation thereon.

- Scrutiny of Overheads A/cs.

- Finalization of Profit & Loss A/c with Balance Sheet Quarterly/Annually.

4. Direct Tax & Indirect Taxes Matters

- Responsible for Tax Audits / Tax Return - Yearly.

- GST /TDS Payment and Returns

- Drafting the Submission and replies to various notices relating to Income Tax assessment (including TDS and TP Assessment), Appeals and Penalty proceeding issued by Income Tax Authority

- To keep track on all updation in tax related case laws/notification/surplus circulated in ITR and other Tax Journals/Tax websites and share the same with other counterparts/officials of the company.

- Drafting the Submission and replies to various notices relating to GST Department, Appeals and Penalty proceeding issued by Authority.

5. Banking -Documentation & Compliances

- Fund Flow Management on Daily Basis.

- Projected Cash Flows & Profit & Loss a/c & Balance Sheet.

- Dealing with Banks for operations.

- Preparation of monthly Cash flows.

- Obtaining various certificates, remittance inward and outward

- Advises from bank and verification of same.

- Verification of interest charged by banks under various facilities.

- Analytical and interpretation skill of various financial reports.

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

Add a note
  • Apply
  • Assess Yourself
  • Save
  • Insights (Read more)
  • Follow-up
    (Read more)
Something suspicious? Report this job posting.