Develop and maintain accurate financial records for the organization.
Prepare financial statements, including income statements, balance sheets, and cash flow statements, and ensure that they comply with accounting principles.
Oversee the accounts payable and accounts receivable functions and ensure timely processing, recording, and payment of invoices.
Prepare and submit tax returns and ensure compliance with tax laws and regulations.
Develop and monitor budgets, provide analysis, and make recommendations for improvements to financial performance.
Coordinate and facilitate internal and external audits and ensure compliance with audit requirements.
Ensuring all company accounts are accurately reconciled.
Managing company cash flow and bank balances.
Manage payroll and employee benefits programs.
Handle monthly, quarterly and annual closings
Research and recommend ways to improve financial performance and reduce costs.
Develop and implement financial policies and procedures to ensure transparency, accountability, and compliance with financial regulations.
- Experience3 - 5 Years
- No. of Openings1
- EducationM.C.A, M.Com, Chartered Accountant
- RoleAccount Manager
- Industry TypeBanking / Financial Services / Stock Broking
- GenderFemale
- Job CountryIndia
- Job TypeWork from Office
- Face interview location38, 4 th floor Krishna tower near mithakali password office navrangpura Ahmedabad