Job Responsibilities:
- Head all operations involved in financial statements including, Account Receivables & Accounts Payable, General Ledger, Revenue Recognition and Expense Management
- Prepare and Publish monthly and quarterly Budget Forecasts and Financial Statements.
- Analyzing Financial Data, Forecasting Revenue, Coordinating Auditing processes and Evaluating & Managing Risk.
- Oversee month-end closing and year-end closing.
- Ensuring compliance with statutory law and financial regulations i.e. GST, TDS, Income tax, ROC, GAAP
- MIS reporting (Revenue and Expense) within agreed timelines with completeness and accuracy
- Setting up processes (Existing & New) to support new business initiatives
Skills Required:
- Qualified Chartered Accountant
- 3 Years of Experience in Accounting and Financial Management.
- Outstanding knowledge of Accounting Principles and Procedures.
- Excellent understanding of Accounting Software Especially Tally, Tally ERP, QuickBooks
- Excellent knowledge of Microsoft Office especially Excel.
- Sound knowledge of auditing and compliance.
- Experience with general ledger functions and month-end/year-end closing processes.
- Experience in handling payment gateway reconciliations
- Prior experience in a start-up and Payment Gateways is a bonus.
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