18/01 E Chandran
Chief Executive at The Right Connection Pvt Ltd

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Financial Controller & Company Secretary - Digital Startup (8-12 yrs)

Delhi/Delhi NCR/Gurgaon/Gurugram/Haryana Job Code: 655374

Our Client is a first generation start up, current turnover around 50 crores, with offices in Major metros. They implement digital strategies ensuring brands achieve 'preferred' status in the minds of its consumer faster than competitors.

Their services range from digital training to executable high-level strategy, from image management on digital to audio/video content production, from bid management to brand advocacy. They completely believe in the power of content and hence the endeavor is to design, develop and distribute creative textual/imagery /video content .

Job Title : Finance Controller

Reporting to: MD

Location : Gurgaon

Job Description :

Experience : 8-12 years

Location : Gurgaon

Major Responsibilities & Deliverable :

- Oversee accounting operations of the company and its subsidiaries

- Create an organizational structure within the accounting department to facilitate the achievement of the department's short-term goals and long-term objectives

- Manage and mentor junior personnel in the accounting department

- Supervise transaction-processing operations

- Oversee any outsourced accounting functions

- Maintain an organized and orderly filing system of all accounting documents

- Collaborate with external auditors as needed

- Coordinate with colleagues to prepare the company's annual report

- Produce the annual budget and predict budget forecasts

- Maintain a comprehensive system of accounting records

- Maintain an adequate system of budgets and controls created to mitigate risk

- Generate financial reports periodically

- Ensure the accuracy of the organization's financial results and reports

- Ensure that financial reports comply with current accounting principles and financial reporting standards

- Publish complete and timely financial statements to company executives, shareholders, and the board

- Account for any budget variances and report significant discrepancies to management

- Recommend benchmarks for the measurement of company financial performance goals

- Analyze capital investments, contract negotiations, and pricing decisions

- Comply with all local, state, and federal tax filings and reporting requirements

- File quarterly and annual reports with the Securities and Exchange Commission

- Schedule payments for accounts payable promptly

- Schedule timely payments for debt repayment

- Find and implement reasonable discounts for accounts payable as appropriate

- Ensure prompt collection of accounts receivable

- Complete periodic bank reconciliations

- Maintain a system of controls over all transactions

- Attend to compliance and other statutory requirements.

In case you wish to explore this opportunity, please apply with your resume.


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Women-friendly workplace:

Maternity and Paternity Benefits

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