Job Description – Finance & Accounts Manager
Position: Finance & Accounts Manager
Department: Finance & Accounts
Reporting to: Director
Company: Accupack Engineering Pvt. Ltd.
Location: Plot No. 6A, T.T.C. Industrial Area, MIDC, Rabale, Navi Mumbai – 400701
Accupack Engineering Pvt. Ltd. is a leading manufacturer of packaging machinery, committed to innovation, precision engineering, and customer satisfaction. We are looking for an experienced and result-oriented Finance & Accounts Manager to lead our Accounts & Finance function and support the organization's financial growth and compliance.
Experience
9–15 Years (Preferably in Engineering, Manufacturing, Packaging Machinery, or Industrial Equipment Industry)
Educational Qualification
B.Com Graduate
Additional qualifications such as M.Com, CA (Inter), ICWA, MBA (Finance), or equivalent will be an added advantage.
Key Responsibilities
1. Financial Management & Reporting
Oversee preparation and finalization of Balance Sheet, Profit & Loss Account, and Cash Flow Statements.
Ensure timely and accurate monthly, quarterly, and annual financial reporting.
Analyze financial performance and present actionable recommendations to management.
Monitor operating expenses and ensure adherence to approved budgets.
Prepare and present MIS reports for management review.
2. Accounting Operations
Manage all accounting functions including General Ledger, Accounts Payable, Accounts Receivable, and Bank Reconciliation.
Ensure accurate maintenance of books of accounts in accordance with accounting standards.
Supervise cost accounting for machine manufacturing and change parts.
Develop, implement, and monitor strong internal financial controls.
Ensure accuracy in accounting entries and financial documentation.
3. Taxation & Statutory Compliance
Ensure timely compliance with GST, TDS, Income Tax, PF, ESIC, Professional Tax, and other statutory requirements.
Coordinate with statutory auditors, internal auditors, consultants, and government authorities.
Handle assessments, audits, notices, and statutory reconciliations.
Keep the organization updated on changes in taxation laws and financial regulations.
4. Banking & Treasury Management
Manage working capital, cash flow, and fund flow efficiently.
Maintain relationships with banks for credit facilities, Term Loans, Letter of Credit (LC), and Bank Guarantees (BG).
Optimize banking facilities and ensure timely repayment obligations.
Monitor daily cash position and liquidity planning.
5. Budgeting & Cost Control
Lead annual budgeting and financial forecasting activities.
6. Strategic & Leadership Responsibilities
Lead, mentor, and develop the Accounts & Finance team.
Support management in business expansion, investment planning, and financial risk management.
Mandatory Skills & Knowledge:
Strong knowledge of Accounting Standards and Financial Reporting.
Excellent understanding of GST, TDS, Income Tax, PF, ESIC, and statutory compliance.
Expertise in SAP System.
Advanced Microsoft Excel and MIS Reporting skills.
Contact: +91 73044 89564
Email: [email protected]
Pay: ₹60,000.00 - ₹90,000.00 per month
Benefits:
Work Location: In person