· Prepare and financial statements, including profit and loss statements, balance sheets, and cash flow statements
· Generate regular financial reports/MIS for Directors to aid in decision-making processes
· Oversee accounts payable processes, ensuring timely payments to vendors and suppliers
· Manage accounts receivable, including invoicing customers and tracking collections/Royalties from various franchisees across India
· Develop annual budget and forecast for the organization, monitor budget variances and provide insights to management on areas of concern or improvement
· Doing financial analysis to identify trends, opportunities, and areas for cost reduction or revenue enhancement
· Provide recommendations based on financial analysis to support strategic decision-making
· Coordinate payroll activities, including calculation of employee salaries, advantages, and deduction
s. Ensure compliance with tax regulations and reporting requirements related to payroll.
· Coordinate with auditors to facilitate annual audits and ensure compliance with regulatory requirements
· Ensure compliance with tax laws and regulation
· Prepare and file tax returns accurately and on time