Key
Responsibilities
Financial
Management & Reporting
Oversee end-to-end accounting operations including
GL, AP, AR, fixed assets, and month-end/year-end closures.
Ensure timely and accurate preparation of financial
statements (monthly, quarterly, annual) in compliance with applicable
accounting standards.
Present financial results, MIS reports, and variance
analysis to senior management.
Budgeting,
Forecasting & Planning
Lead annual budgeting and periodic forecasting
processes.
Monitor budget vs actuals and provide actionable
insights for cost optimization and revenue enhancement.
Support leadership with financial modeling, scenario
analysis, and strategic decision-making.
Statutory
Compliance & Taxation
Ensure compliance with statutory and regulatory
requirements including Companies Act, Income Tax, GST, TDS, PF, ESI, and
other applicable laws.
Manage direct and indirect tax filings, assessments,
notices, and litigation support.
Coordinate with tax consultants and advisors for
effective tax planning.
Audit &
Controls
Lead internal and statutory audits; ensure timely
closure of audit observations.
Strengthen internal controls, SOPs, and risk
management frameworks.
Ensure compliance with internal policies and
governance standards.
Cash Flow
& Treasury Management
Manage cash flows, working capital, and fund
utilization.
Oversee banking relationships, credit facilities, and
treasury operations.
Ensure liquidity planning and optimal use of
financial resources.
Team
Leadership & Stakeholder Management
Build, lead, and mentor the accounts and finance
team.
Coordinate with internal stakeholders (HR,
Operations, Business Heads) and external stakeholders (auditors, banks,
consultants, regulators).
Drive process improvements and system automation
initiatives.
Key Skills
& Competencies
Robust knowledge of accounting principles, taxation,
and statutory compliance.
Expertise in financial analysis, budgeting, and MIS
reporting.
Ab
📌 Head – Accounts Chennai
🏢 IGSSL
📍 Chennai