We are looking for a detail-oriented and analytical Finance Manager to manage the company's financial operations, accounting, MIS reporting, budgeting, compliance, and cash flow. The ideal candidate should be a qualified Chartered Accountant with at least 4 years of post-qualification experience and strong expertise in financial reporting, taxation, audits, and business finance.
Key Responsibilities
Financial Accounting & Reporting
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Prepare monthly, quarterly, and annual financial statements.
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Ensure accurate bookkeeping and accounting records in Tally/ERP.
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Prepare MIS reports, management reports, and financial dashboards.
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Perform month-end and year-end closing activities.
Budgeting & Financial Planning
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Prepare annual budgets and periodic financial forecasts.
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Monitor budget utilization and perform variance analysis.
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Support business teams with financial planning and cost optimization.
Cash Flow & Working Capital Management
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Monitor daily cash flow and working capital requirements.
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Prepare cash flow statements and forecasts.
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Manage bank reconciliations and coordinate banking activities.
Taxation & Compliance
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Ensure timely filing of GST, TDS, Income Tax, and other statutory returns.
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Coordinate with auditors during statutory and tax audits.
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Ensure compliance with Companies Act and applicable financial regulations.
Business Finance
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Analyze revenue, expenses, profitability, and operating costs.
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Identify opportunities for process improvements and cost savings.
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Support management with financial insights for business decisions.