Job Summary
We are looking for an experienced Accounts & Finance Manager to manage the company's accounting, finance, taxation, compliance, reporting, budgeting, and financial control functions. The role will be responsible for ensuring accurate financial reporting, effective cash-flow management, statutory compliance, and providing financial insights to management for business decision-making.
Key Responsibilities
1. Accounting & Financial Reporting
- Manage day-to-day accounting operations, including Accounts Payable, Accounts Receivable, General Ledger, and Bank Reconciliation.
- Ensure timely closure of monthly, quarterly, and annual books of accounts.
- Prepare and review P&L;, Balance Sheet, Cash Flow Statement, and MIS reports.
- Ensure accuracy and completeness of accounting records in accordance with applicable accounting standards.
- Monitor receivables, payables, advances, provisions, and outstanding balances.
2. Taxation & Statutory Compliance
- Ensure timely compliance with GST, TDS, Income Tax, PF, ESIC, Skilled Tax, and other applicable statutory requirements.
- Review GST returns, reconciliations, input tax credit, and related documentation.
- Coordinate for tax assessments, notices, audits, and statutory requirements.
- Ensure timely filing of returns and payment of statutory dues.
3. Budgeting & Financial Planning
- Prepare and monitor annual budgets, forecasts, and cash-flow projections.
- Analyze actual performance against budgets and identify significant variances.
- Support management in financial planning, cost optimization, and business decisions.
- Monitor working capital and optimize cash utilization.
4. Audit & Compliance
- Coordinate with Statutory Auditors, Internal Auditors, Tax Consultants, and other external agencies.
- Ensure timely completion of statutory and internal audits.
- Maintain proper documentation and financial records for audit purposes.
- Implement and monitor appropriate financial controls and processes.
5. Cash Flow & Banking
- Manage daily cash-flow requirements and fund planning.
- Coordinate with banks regarding payments, banking transactions, loans, guarantees, LC/BG, and other banking requirements.
- Monitor bank balances, cash requirements, and working-capital position.
- Ensure timely vendor payments while maintaining adequate liquidity.
6. Management MIS & Analysis
- Prepare and present periodic financial MIS and management reports.
- Provide analysis on revenue, profitability, expenses, working capital, and cash flow.
- Identify financial risks, deviations, and opportunities for cost control.
- Provide data-driven financial inputs to senior management.
7. Costing & Commercial Finance
- Review product/project costing and profitability.
- Analyze material, manpower, overhead, and project costs.
- Support commercial teams in pricing and margin analysis.
- Monitor project-wise profitability and cost overruns, where applicable.
8. Team Management
- Lead and supervise the Accounts & Finance team.
- Allocate responsibilities and ensure timely completion of accounting and compliance activities.
- Review team performance and provide guidance on accounting and finance processes.
- Develop and improve finance processes, controls, and SOPs.
9. Process Improvement & ERP
- Ensure effective utilization of ERP/accounting software for financial transactions and reporting.
- Identify opportunities to automate and streamline finance processes.
- Maintain appropriate internal controls and authorization mechanisms.
- Ensure proper master-data and financial transaction controls.
Interested candidates can share their profiles at
[email protected] with the subject line "Finance & Accounts Manager - (Your Name)
📌 Accounts And Finance Manager (Pune)
🏢 Kyoritsu Electric
📍 Pune