Posted by
Posted in
Banking & Finance
Job Code
1703279

Manager/Senior Manager - Finance - CA (2-4 yrs)
Function : Finance and accounts
Qualification : Chartered accountant with post qualification experience of 1-3 years.
No. of attempts in CA final program should not exceed 4.
Location : HO - Worli.
Joining date : Prefer immediate joinee
MIS Reporting & Variance Analysis :
- Prepare periodic MIS packs (P&L, balance sheet movement, cash flow summary, key ratios) for management review.
- Track budget vs actuals and perform variance analysis with actionable commentary for finance leadership.
- Assist in project-wise cost tracking and monitor major cost heads vs budgets.
Audit & Compliance (Good to have: Statutory audit exposure)
- Coordinate statutory audit requirements: prepare audit schedules, respond to auditor queries, and support closure of observations.
- Support internal controls documentation and compliance checklists.
- Assist in maintaining documentation for vendor/customer balances, contracts, and supporting for accounting positions.
Taxation & Regulatory Support :
- Support GST/TDS compliances: reconciliations, workings, data validation, and coordination for filings (with internal/external consultants).
- Assist in responding to notices/queries and maintaining compliance records.
Banking, Payments & Treasury Support :
- Support payment processing controls (maker-checker), vendor reconciliations, and ageing analysis.
- Assist in bank reconciliations, fund utilization tracking, and preparing data for bankers/financiers where required.
Project Coordination / Project Management (Good to have) :
- Coordinate with project teams to track certification, billing, collections data, and cost bookings.
- Help maintain trackers for key deliverables (closing calendar, audit schedules, compliance dates, MIS timelines).
Financial Accounting & Closing :
- Overview day-to-day accounting entries, scrutiny, and ledger hygiene (GL, sub-ledgers, inter-company, advances).
- Support monthly/quarterly/year-end closing activities, including provisions, accruals, reconciliations, and schedules.
- Ensure correct accounting treatment for real estate transactions (customer receipts, vendor bills, RCM/credits where applicable, capitalization,expenses).
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Posted by
Posted in
Banking & Finance
Job Code
1703279