Posted by
Posted in
Banking & Finance
Job Code
1711496

1. Monthly account closing:
- Monthly account closing, related MIS and variance analysis.
2. Consolidated Financials:
- Consolidated Financials quarterly and Annual including Board presentations.
3. UK subsidiary monitoring:
- UK foreign subsidiary company account closing monitoring and Board presentation.
4. Annual Account Closing:
- 1. Liaison with auditors to get accounts audited as per IndAS.
- 2. Annual report printing & XBRL filing.
- 3. Hyperion submission.
5. Related party transactions:
- Handling Related party transactions, Getting RPT transaction confirmation with Related parties and filing details in RPT portal.
6. Annual budgeting:
- Annual budgeting activities, including co-ordination with all functions for collating monthly phasing of budgets.
7. Direct Taxation:
- 1. TDS & TCS payments, quarterly TDS & TCS returns filing, Issuing TDS & TCS certificates, corrections of TDS and TCS return filed earlier in response to default communication from Department.
- 2. Tax audit and Transfer pricing audits.
- 3. Filing Income Tax return.
- 4. Handling income tax assessment.
- 5. Transfer pricing return filing and assessment.
- 6. Filing appeals with CIT(Appeals) & other appellate authorities.
8. Payroll processing:
- Handling Payroll processing & accounting, Monthly manpower cost analysis, and Gratuity / Leave actuarial valuations.
9. Compliance monitoring:
- Compliance monitoring and update portal with compliance activities.
10. Capex management:
- 1. Involvement in Product planning budgeting and Tooling budgeting.
- 2. Monthly monitoring Project spend and tooling spend and comparing with Budget, highlighting variances.
- 3. Using WBS system of SAP for tracking budget.
- 4. Reviewing capex proposals of Project and Tooling spend.
- 5. Monitoring common allocable spend of R&D Manpower cost and overhead cost and allocation of same on projects based on basis as discussed with R&D team.
11. Vendor management:
- 1. Onboarding with proper documentation in SAP, maintaining vendor accounting view, proper TDS rate and GST code.
- 2. Monitoring bill passing activities, PO based and Non PO based, and monitoring GRIR balance to know bill passing pending activities.
- 3. Monitoring vendor payment as per due date, MSME vendor payment and capex advance.
- 4. Handling foreign vendor payments, Deciding withholds taxes, GST under RCM, obtaining remittance certificates form 15CA and 15CB and related co-ordination with overseas vendors.
12. Dealers/Customer management:
- 1. Dealer on-boarding, VA creation, DMS integrations, etc.
- 2. Security deposit collection as per SD policy, monitoring security deposit.
- 3. Guiding commercial team on warranty and other claims.
- 4. Dealer reconciliation on quarterly basis.
13. Sales and marketing accounting:
- 1. Pricing working for each Vehicle (including spares & accessories), for all states of India.
- 2. Monthly account closing provisions.
- 3. Involvement in budgeting, spend planning.
- 4. Co-ordination with marketing team in relation to marketing spend and closing relevant issues.
14. Banking activities:
- Liaison with banks for various banking activities.
15. Internal Audit:
- Internal Audit Co-ordination and closing observations.
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Posted by
Posted in
Banking & Finance
Job Code
1711496