Area of operation: - Accounts & Finance
Qualification – CA
Experience: 3 Years of experience in Accounts & Finance.
Key Skills Required:
Good Communication Skills
MS Office
ERP Systems Location: Anderi East Mumbai Position Reporting To : Financial Controller
Responsibilities ...
Budgeting & Forecasting: Assist in preparation of annual budgeting and ongoing
forecasting activities.
Financial Reporting: Assist in the preparation and presentation of monthly, quarterly, and
annual financial reports, ensuring accuracy and compliance with accounting standards.
General Ledger Management: Oversee the general ledger, ensuring all transactions are
recorded accurately and reconciled regularly.
Financial Closing: Support the month-end and year-end closing processes, ensuring
timely and accurate closure of accounts.
Accounts Payable & Receivable: Manage and oversee accounts payable and receivable
functions, ensuring all transactions are processed accurately and in a timely manner.
Cash Flow Management: Assist in managing the company’s cash flow by preparing
forecasts and ensuring sufficient funds for day-to-day operations.
Audit Coordination: Support internal and external audit processes by providing relevant
documentation and ensuring compliance with regulatory standards.
Tax Compliance: Ensure all compliance with local tax laws and regulations are followed.
Financial Analysis: Perform financial analysis to provide insights into business
performance, identify trends, and recommend improvements & collaborate in the
preparation of financial reports, analyzing variances and recommending corrective actions
Process Improvement: Identify and implement process improvements to streamline
financial operations and enhance efficiency.
experience
5show more Area of operation: - Accounts & Finance
Qualification – CA
Experience: 3 Years of experience in Accounts & Finance.
Key Skills Required:
Good Communication Skills
MS Office
ERP Systems Location: Anderi East Mumbai Position Reporting To : Financial Controller
Responsibilities
Budgeting & Forecasting: Assist in preparation of annual budgeting and ongoing
forecasting activities.
Financial Reporting: Assist in the preparation and presentation of monthly, quarterly, and
annual financial reports, ensuring accuracy and compliance with accounting standards.
General Ledger Management: Oversee the general ledger, ensuring all transactions are
recorded accurately and reconciled regularly.
Financial Closing: Support the month-end and year-end closing processes, ensuring
timely and accurate closure of accounts.
Accounts Payable & Receivable: Manage and oversee accounts payable and receivable
functions, ensuring all transactions are processed accurately and in a timely manner.
Cash Flow Management: Assist in managing the company’s cash flow by preparing ...
forecasts and ensuring sufficient funds for day-to-day operations.
Audit Coordination: Support internal and external audit processes by providing relevant
documentation and ensuring compliance with regulatory standards.
Tax Compliance: Ensure all compliance with local tax laws and regulations are followed.
Financial Analysis: Perform financial analysis to provide insights into business
performance, identify trends, and recommend improvements & collaborate in the
preparation of financial reports, analyzing variances and recommending corrective actions
Process Improvement: Identify and implement process improvements to streamline
financial operations and enhance efficiency.
experience
5show more