To be responsible for preparation of journal entries, reconciliation and maintenance of general ledger account, preparation of specified accounting records and analysis in accordance with Generally Accepted Accounting Principles(GAAP).
Key Responsibilities
1. To Assist With Identifying And Administering Internal Control In The Organization As Well As Updating Sop'S.
2. To Be Responsible For Preparation Of Journal Entries, Account Reconciliation And Other Analytical Reports To Ensure Accuracy, Timeliness And Completeness.
3. To Maintain And Analyze General Ledger Accounts To Ensure Accuracy Of Financial Information Such As Balance Sheet Accounts, Expense Analysis, Daily/Monthly Cash Balance Reporting And Monthly Bank Reconciliations.
4. To Provide Supporting Documentation And Information To Various Stakeholder Like Management, Auditors, Tax Departments Etc.
Job Overview:
We are seeking an experienced and strategic Financial Planning & Analysis (FP&A;) Manager with 12-14 years of experience to lead financial planning, forecasting, and performance management activities. The role requires robust leadership, business partnering, and analytical skills to drive strategic decision-making and financial performance across the organization.
Key Responsibilities:
1. End-to-End FP&A; Leadership:
Oversee enterprise-wide financial planning processes including Annual Operating Plan (AOP), forecasts, and long-range planning.
Ensure alignment of plans with business strategy.
2. Business Performance Management:
Monitor financial performance across business units.
Analyze revenue, cost, and profitability trends. Identify risks and opportunities and recommend corrective actions.