MIS & Reporting Prepare daily, weekly, and monthly finance MIS including P&L;, Balance Sheet, and Cash Flow statements. Track budget vs actuals, conduct variance analysis, and present actionable insights. Implement cost centres (product-wise, geography-wise, division-wise) to support transparent KRA/KPI definition, profitability improvement, and identification of revenue growth drivers. Develop and maintain management dashboards and reports (Excel-based). Cash Flow Management Prepare and monitor cash flow forecasts. Track and analyze working capital components including receivables, payables, and inventory cycles. Support effective fund utilization and liquidity planning.
Accounting & Financial Support Coordinate with the accounts team to ensure accuracy and consistency of financial data. Support month-end and year-end closing processes. Assist in audits, compliance requirements, and management reviews. Key Skills & Tools Robust Excel skills (advanced formulas, pivots, MIS structuring). Sound understanding of cash flow statements, working capital, and profitability analysis. Working knowledge of accounting and financial reporting. ERP exposure (Tally / SAP / Zoho / Oracle) preferred.
📌 Mis Finance Executive Gandhinagar
🏢 MM Staffing & Career Consultants
📍 Gandhinagar
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