We do have opening for CA with ERP, GST and Import knowledge.
Experience more than 10 yearsLead the long-term strategic and annual planning exercises. Align the financial strategy with
business objectives
Drive and oversee the budgeting exercise for the ent budgets to the Board for
review and approval.
Ensure continuous review of budgets vs. actuals on a monthly basis and monitor
corresponding action plans
Manage inter-company transactions and optimise the capital structure
Calculation of cost of capital and preparing optimum capital structure for long term financial
goals
Risk assessments of projects and suggesting measures for risk mitigation
Cashflow Management:
Be responsible for preparing regular MIS in the formats as needed by Management and
provide them in stipulated timelines.
Preparation of annual forecasting and synchronising the receivables and payables
Be responsible for organising and attending periodic meetings/calls where the above prepared
MIS as well as any other items of importance needs to be discussed
Preparation, compilation and taking approval of AOP for the financial year
Preparation and review the cashflow projection of the ongoing projects.
Preparing the projections and feasibility reports for the upcoming projects Lead the accounting function to align with organizational objectives.
Ensure timely and qualitative monthly, quarterly, and annual book closures.
Keep the Accounts team updated on evolving accounting standards.
Implement effective controls for recording accounting transactions.
Audit:
Facilitate and support all audits (statutory, internal, tax, etc.). GST Audit and any other audits
of legal entities in the jurisdiction
Develop strong financial reporting system
Fund Management:
Banking:
Ensure stringent controls over Cash and Bank transactions.
Perform periodic Bank Reconciliations and ensure a maker-checker process.