- Manage the preparation and distribution of internal financial statements and reports, maintaining the highest quality, reliability, and accuracy.
- Manage monthly closing process and review financials reports/
- Prepare Consolidated Financial Statements and cashflow on a monthly, quarterly, and annual basis.
- Prepare Forecasted Financials Statements and cash flow.
- Review contracts with the various partners and negotiate the financials terms.
- Manage the cash flows and investment of surplus funds.
- Coordinate the Company's annual Statutory audit.
- Develop and maintain the integrity of the financial reporting process and financial controls including the Risk control metrics.
- Coordinate, develop and update written policies and procedures over the financial reporting process.
- Prepare reports and data for filings under Companies Law.
- Research and resolve accounting issues including evaluation and implementation of new accounting pronouncements to ensure Ind AS compliance.
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