19 Aug
|
Maya Marine u0026 Logistics
|
Bhavnagar
19 Aug
Maya Marine u0026 Logistics
Bhavnagar
Company Description Maya Marine & Logistics is an ISO 9001:2015 certified maritime services company and a venture of the family-owned Maya Group of Companies, which has a business heritage of over 50 years. Headquartered in Ahmedabad with an operational base in Bhavnagar, Gujarat, India, the company provides end-to-end marine solutions to domestic and international clients. Its core services include naval refits and defense vessel maintenance, new tug and barge construction, and comprehensive maritime engineering supported by dry dock facilities compliant with SOLAS and MARPOL regulations.
Maya Marine also delivers offshore engineering support, such as towing, anchor handling, marine logistics, and subsea services for the oil, gas, and renewable energy sectors. All operations are guided by a strong commitment to quality, reliability, safety, and service excellence.
Job Summary
We are seeking an experienced and analytical professional to join our Finance team in a dual role as Accountant and Financial Analyst, with added responsibility for leading a small team. This position is responsible for maintaining accurate financial records, managing cash flow, ensuring compliance, and providing data-driven insights to support strategic decision-making. The ideal candidate combines strong technical accounting skills, financial modeling capabilities, cash flow management experience, and the leadership skills to guide and develop team members.
Key Responsibilities
Leadership & Team Management:
- Lead, mentor, and manage a team of accountants/analysts, assigning tasks and monitoring performance
- Review team members' work for accuracy and provide constructive feedback
- Support onboarding and training of new team members
- Act as a point of escalation for complex accounting or analytical issues
- Coordinate workload distribution to meet reporting deadlines
- Foster a collaborative, accountable, and high-performing team culture
Accounting Duties:
- Manage day-to-day accounting operations, including accounts payable/receivable, general ledger entries, and bank reconciliations
- Prepare monthly, quarterly, and annual financial statements in accordance with GAAP/IFRS
- Ensure compliance with tax regulations, statutory filings, and internal accounting policies
- Support internal and external audits by preparing necessary documentation
- Monitor and maintain accurate fixed asset registers and depreciation schedules
- Process payroll-related accounting entries and ensure timely closing of books
Cash Flow Management:
- Monitor daily, weekly, and monthly cash flow positions and prepare cash flow forecasts
- Analyze cash inflows and outflows to identify trends, risks, and opportunities
- Develop and maintain rolling cash flow models to support liquidity planning
- Coordinate with treasury/banking functions to manage working capital efficiently
- Identify and flag potential cash shortfalls or surpluses, recommending corrective action
- Support decisions on short-term investments, borrowing needs,
and payment prioritization
- Financial Analysis Duties:
- Develop and maintain financial models to support budgeting, forecasting, and long-term planning
Qualifications
- Bachelor's degree in Accounting, Finance, or related field (CPA/CMA/CFA a plus)
- 4–7 years of experience in accounting and/or financial analysis, including hands-on cash flow management
- Prior experience leading or supervising a team preferred
- Strong knowledge of GAAP/IFRS and financial reporting standards
- Proficiency in Excel (advanced formulas, pivot tables) and financial modeling
- Experience with accounting software (e.g., QuickBooks, SAP, NetSuite, Oracle) and BI tools (e.g., Power BI, Tableau) preferred
- Excellent analytical, problem-solving, and communication skills
- Solid leadership, delegation, and people-management abilities
- High attention to detail and ability to manage multiple priorities
- Analyze financial performance against budgets and prior periods, identifying trends and variances
- Prepare management reports, dashboards, and presentations for leadership
- Conduct cost analysis, profitability analysis, and ROI evaluations for business initiatives
- Support annual budgeting and quarterly forecasting cycles
- Provide recommendations to improve financial efficiency and profitability
Preferred Skills
- Experience in cash flow forecasting, treasury coordination, or working capital optimization
- Track record of successfully managing or mentoring a team
- Understanding of internal controls and audit processes
- Ability to translate complex financial data into clear insights for non-finance stakeholders
📌 Head Of Department Accountant (Bhavnagar)
🏢 Maya Marine u0026 Logistics
📍 Bhavnagar