- Monthly Management Reporting: Lead the closing of books and preparation of monthly financial statements in accordance with local GAAP and Group reporting standards.
- Ensure timely and accurate submission of monthly reporting packages to the Regional Finance Manager and the Global Finance team in Spain.
- Cash Flow &
- Liquidity Management:
Direct cash flow forecasting and liquidity planning to ensure operational requirements of the company.
- Payment Strategy: Oversee the payment planning process, ensuring optimization of working capital and adherence to vendor credit terms.
II. Taxation, Audit &
- Statutory Compliance
- Direct &
- Indirect Tax Oversight:
Finalize the working for Advance Tax, CIT (Corporate Income Tax) returns, and GST returns.
- Tax Litigation &
- Notices:
Manage and finalize responses to GST and Direct Tax notices, representing the company before tax authorities where required.
- Audit Management: Coordinate and lead the Annual Statutory and Group Audits (December &
- March cycles) and the Annual GST Audit, ensuring zero high-risk observations.
- Transfer Pricing: Oversee the Transfer Pricing Audit and ensure all intercompany transactions with the Spanish parent and other affiliates are documented at arms length.
III.
Strategic
Operations &
- Intercompany Coordination
- Intercompany Transaction Management: Manage complex cross-border transactions, including service fees, between the local entity and Spain.
- Internal Controls &
- Process Improvement:
Identify and resolve daily financial errors at the HO and Plant levels; implement internal controls to mitigate risk.
- Budgeting &
- Variance Analysis:
Develop annual budgets and perform monthly variance analysis (Actual vs. Budget) to provide actionable insights to the Regional Finance Manager.
- Team Leadership: Lead, mentor, and manage the finance team across multiple locations, fostering a culture of accuracy and accountability.
IV.
Common Specific
Tasks
- Group Policy Implementation: Ensure local accounting practices align with the Group's global accounting policies.
- Foreign Exchange Management: Monitor currency fluctuations and manage FX exposure related to imports/exports or intercompany payables to Spain.
- Fixed Asset Management: Oversee the capitalization and depreciation of assets at the manufacturing plant, ensuring alignment with both local tax laws and Group policy.
- Capex Management: Oversee the capex creation and management of existing approved capex.
📌 Team Lead (Udaipur)
🏢 Nahar Colours And Coating
📍 Udaipur
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