About Our Client A company in the transport and distribution industry, specialising in third-party logistics, based in Mumbai.
- Experiencein end to end record to report process - Oversee cash management processes and ensure accuracy in reporting - Maintain compliance with internal financial controls - Review and approve accounting entries related to cash transactions - Prepare and analyse cash flow statements - Collaborate with internal teams to streamline cash management practices - Support audits by providing necessary documentation and reports - Identify and mitigate risks related to cash handling and controls - Ensure adherence to financial policies and procedures The Successful Applicant We're looking for someone who has:
- A background in accounting or finance - Experience in cash management and financial controls - Good understanding of accounting principles - Solid grasp of accounting principles, GL controls, and reconciliations.
- Strong attention to detail and problem-solving skills - Ability to work with financial tools and software - Excellent communication and teamwork skills What's on Offer - A permanent role in Mumbai - Prospect to work in the transport and distribution sector - Chance to manage key financial operations If this role matches your skills, feel free to apply.
📌 Manager Accounting and Controls (RTR) (Mumbai)
🏢 Michael Page
📍 Mumbai
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