dgm-finance in delhi

posted
contact
randstad india
position type
permanent
apply now

posted
location
delhi, new delhi
function
Other
position type
permanent
experience
14 To 20
reference number
932294
contact
randstad india
apply now

job description

dgm-finance in delhi

?ACCOUNTING

1. To Plan and define guidelines for various systems and processes that needs to be followed by the department to ensure efficient delivery as per defined timelines.
2. To prepare and plan for control processes that needs to be followed within the department.

To ensure overall monitoring of various accounts like

- General accounts
- Purchase accounts
- Sales Accounts
- To ensure timely finalization, consolidation and closing of monthly, quarterly, half yearly and yearly accounts as per the accounting requirements.
- To ensure timely and proper accounting of gas purchases and RLNG sales.
- To ensure timely and proper local and foreign payments.
- To coordinate with various departments for accounts and financial purposes.

TAXATION

- To plan and provide guidelines for taxation compliances as per the statutory requirements
- To ensure timely preparation and submission of quarterly and annual taxation reports as per reporting guidelines.
- To coordinate for and ensure smooth and timely closing of the Tax audit for the organization.

BANKING AND INSURANCE

- To ensure timely and accurate banking activities are carried out in a smooth manner.
- To advice and counsel concerned departments on commercial matters related to GSPA (Gas sales purchase agreements), Material Purchases & Works contracts
- To plan for and advise on minimization of double taxation.


STATUTORY/REGULATORY REQUIREMENTS
- To ensure proper compliance to all statutory Acts.
- To examine & comply with PNGRB regulations in commercial & financial matters.
- To ensure timely completion of audits, assessments required under various statutes.
- To liaise with the Stat auditors for timely closing of quarterly and yearly accounts.
- To ensure maintenance of proper accounts, reports and compliance to all legal and Statutory audit requirements.
- To coordinate with internal and external auditor for audit related work.

TREASURY
- Investment on daily basis & as per board guidelines
- To plan and prepare for management boards approval on investment
- Continuous monitoring and tracking treasury updates for efficient treasury management.

MIS AND REPORTS
- To ensure generation of reports on analysis of various cost control and reduction analysis.
- To ensure the preparation of all monthly and quarterly reports
- To review and scrutinize various proposals on financial and commercial angles

Benefits
?The Company offers professional working environment, independent responsibilities, recognition of good performance and excellent growth prospects to those who prove themselves.

Client Introduction
?Leadership hiring for Finance position in one of the top and leading Oil and Gas Company in Delhi

skills

?CA, Accounting, taxation, banking, insurance

qualification

?The position is responsible for driving the finance team on financial operation & controls, banking / insurance, investment & taxation matters. The positions is also responsible for treasury management, ensuring and coordinating for audits, regulatory requirements and payments