Posted By
Posted in
Banking & Finance
Job Code
1577267
Key Responsibilities:
- Lead and manage a team of 3-4 members handling Cash & Bank Accounting.
- Oversee Bank Reconciliation Statements (BRS) ensuring accuracy and timeliness.
- Handle Debit Note and Credit Note Accounting processes efficiently.
- Manage Inventory Accounting including Purchase, Sales, and GRN activities.
- Prepare and analyze Cash Flow reports to support financial planning.
- Perform tax-related workings and planning, including GST, TDS, Corporate Tax, Advance Tax, BRC, and e-invoicing.
- Understand and manage Export Business finance operations, including documentation, LC management, and bank liaising.
- Provide clarity on taxable and non-taxable expenditures, disallowances, and their basis.
- Independently manage Financial MIS, including Balance Sheet, Profit & Loss, and Cash Flow finalization.
- Prepare accurate monthly financial reports and assist in presentations that highlight analysis and action points.
- Support the accounting team with reliable financial data and projections for decision-making.
Eligibility Criteria:
- CA, MBA Finance, or CMA.
- Minimum 10 years of relevant experience, preferably from manufacturing or FMCG sectors.
- Prior experience managing a team of at least 2 people.
- Strong background in manufacturing accounting and export business preferred.
Required Soft Skills:
- Excellent communication and leadership skills.
- Highly motivated, creative thinker, self-starter, and fast learner.
- Strong analytical and quantitative skills.
- Effective time management and verbal/written communication abilities.
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Posted By
Posted in
Banking & Finance
Job Code
1577267