1 Financial Planning Analysis Develop and implement financial strategies to optimize organizational performance and achieve business objectives Prepare and monitor budgets forecasts and variance analyses Provide actionable financial insights and reports to senior management for informed decision-making 2 Accounting Management Lead and supervise the accounting team to ensure accurate and timely preparation of monthly quarterly and annual financial statements Establish and maintain accounting policies procedures and internal controls Ensure safeguarding of company assets and compliance with applicable accounting standards 3 Treasury Cash Management Oversee cash flow planning and working capital management Monitor banking operations optimize fund utilization and manage debt obligations Develop strategies to mitigate financial risks and maximize returns on surplus funds 4 Compliance Regulatory Affairs Ensure compliance with all statutory requirements including Income Tax GST audits and financial reporting standards Handle end-to-end GST operations and filings Coordinate with statutory auditors tax consultants and regulatory authorities during audits and inspections 5 Financial Systems Process Improvement Continuously evaluate and enhance financial systems processes and internal controls Drive automation efficiency improvements and cost optimization initiatives Support cross-functional teams on investment analysis pricing decisions and financial evaluations