Key Responsibilities:
Financial Planning & Strategy
Develop and implement financial strategies aligned with business goals.
Prepare annual budgets, forecasts, and financial plans.
Conduct financial risk assessment and mitigation strategies.
Accounting & Compliance
Ensure accurate and timely financial reporting, including P&L;, balance sheet, and cash flow statements.
Ensure compliance with GST, Income Tax, Companies Act, TDS, and other statutory regulations.
Oversee audits (statutory, internal, and tax audits) and liaise with auditors.
Implement and monitor internal financial controls (IFC).
Cost Management & Profitability
Monitor and control costs, working capital, and cash flow.
Implement cost reduction initiatives and financial efficiency programs.
Evaluate and analyze capital investments and expenditures.
Banking & Treasury Management
Manage funding requirements,
📌 General Manager Mumbai
🏢 PSS Global
📍 Mumbai
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