17 Sep
|
Piranha International
|
Ludhiana
17 Sep
Piranha International
Ludhiana
Key Responsibilities
- Manage the complete finance and accounting operations of the travel company.
- Prepare financial statements, MIS reports, balance sheets, profit and loss accounts, and cash flow statements.
- Manage financial planning, budgeting, forecasting, and monitoring of business expenses.
- Handle banking operations, fund management, and daily financial transactions.
- Monitor revenue from travel bookings, tour packages, hotel bookings, flight bookings, and other travel services.
- Manage accounts payable, accounts receivable, vendor payments, and customer refunds.
- Reconcile travel bookings, payment gateways, bank accounts, and financial transactions.
- Monitor travel agent commissions, partner settlements, and outstanding receivables.
- Coordinate with banks, financial institutions, auditors, and external financial consultants.
- Ensure compliance with GST, TDS, income tax, and other applicable statutory requirements.
- Monitor cash flow, working capital, and payment schedules to ensure smooth business operations.
- Support management in financial planning, business expansion, and strategic decision-making.
Pay: ₹25,000.00 - ₹35,000.00 per month
Work Location: In person
📌 Finance Head (Ludhiana)
🏢 Piranha International
📍 Ludhiana