Posted By
Posted in
Banking & Finance
Job Code
1040329
Role Description
- Oversees, prepares, analyses, and reconciles all financial statements and related reports including but not limited to balance sheets, income statements, cash-flow reports, and variance analysis
- Accounting of Bills, Payments, Tax Related Issues, GST, Preparing financial reports
- Maintaining book of accounts, and working with auditors for closure of statutory and internal audit
- Managing Bank Reconciliation
- Prepares, analyses, and reconciles monthly financial statements
- Liaising with external agencies for accounts reconciliation and timely processing
- Liaising with external vendors for invoicing, payments, and timely processing
- Manage all statutory compliance and payments pertaining to all relevant regulatory authorities
- Monitoring internal compliance framework and adherence to the same Compliance Reporting
- Disseminate Compliance information and updates to relevant stakeholders
- Perform financial reporting and quarterly P&L analysis
- Demonstrate appropriate understanding / working knowledge of financial reporting and accounting principles
- Collate and analyze operational and financial data for reporting to various lending partners
Attributes we are looking for
Minimum work experience of 2 years post CA
CA certification is compulsory
Prior experience with a Bank / NBFC / Payments Bank would be a plus
Familiar with business tax regulations and reporting requirements, and have a working knowledge of GST and other tax regulations
Knowledge of General Ledger accounting
High Proficiency in MS Excel and Tally
Strong financial analysis and accounting skills
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Posted By
Posted in
Banking & Finance
Job Code
1040329