A company in the transport and distribution industry, specialising in third-party logistics, based in Mumbai.
Job Description
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
Valuable understanding of accounting principles
Solid grasp of accounting principles, GL controls, and reconciliations.
Robust 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
Chance 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 Mumbai
🏢 Michael Page
📍 Mumbai
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