- Supervision of Accounts team
- Budgeting and forecasting
- Fund / Cash Flow Management
- Cash and bank Management
- Expense management
- Compliance and regulatory management
- Direct or coordinate an organization's financial or budget activities to fund operations, maximize investments, or increase efficiency.
- Reviewing existing Internal Control and Guidelines and bringing improvement in consultation with Management.
- Ensuring implementation of proper guidelines for cost control, avoiding leakages
- Ensuring Statutory Compliances
- Provide financial or regulatory reports required by laws, regulations, or boards of directors
- Dealing with Banks for fulfillment of various requirement of the company
- Maintain all Taxation like excise, sale tax, service tax, TDS, income tax on behalf of company.
- Providing MIS to Management on monthly / weekly and on requirement basis.
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