Duties and Responsibilities
ü Develop and execute financial strategies aligned with the company's overall goals and objectives.
ü Provide strategic financial guidance to the executive team and key stakeholders.
ü Oversee budgeting, forecasting, and financial planning processes.
ü Conduct in-depth financial analysis and present key insights to support informed decision-making.
ü Ensure accurate and timely financial reporting, including monthly, quarterly, and annual statements.
ü Control over GSTR Filling, TCS calculation, Bank reconciliation, budget preparation and implementation.
ü Verify the payroll, ESIC, EPF calculations
ü Control over online transfer of funds E.g.; NEFT, RTGS etc
ü Coordinate and collaborate with the company’s management for budget planning and execution.
ü Finalizing total expenses and revenue list and calculations by coordinating with finance team.
ü Evaluation and analyzing of final report of accounts and finance.
ü Make sure company are maintain and go through the estimated budget.
ü Control over all finance and accounting related activities
ü Manage cash flow and liquidity to support ongoing operations and strategic initiatives.
ü Implement cost control measures and efficiency improvements to maximize profitability.
ü Evaluate and negotiate contracts with vendors and suppliers.
ü Maintain transparency and compliance with accounting standards and regulations.
ü Collaborate with external partners, including financial institutions, to negotiate favorable terms and optimize financial strategies.
ü Visit auditor’s office and consult with him for various tax related matters.
ü Ensure that vendors comply with agreed-upon service levels and deliverables.
Education :
Bachelor's degree in Finance, Accounting, or a related field.
MBA or CPA is preferred.
Pay: ₹100,000.00 - ₹150,000.00 per month
Experience:
- Finance: 10 years (Required)
Work Location: In person