Job Responsibilities:
Developing and implementing financial plans, budgets, and forecasts.
Preparing accurate and timely financial reports, inclu..
Job Responsibilities:
Developing and implementing financial plans, budgets, and forecasts.
Preparing accurate and timely financial reports, including income statements, balance sheets, and cash flow statements.
Creating and managing budgets for various departments or projects. Monitoring expenses, analyzing variances, and implementing cost control measures to optimize financial resources.
Monitoring and managing cash flow to ensure sufficient funds are available for operational needs of all subsidiaries. Overseeing cash flow forecasting, cash flow analysis, and working capital management.
Managing day-to-day financial operations, including accounts payable and receivable, invoicing, payroll processing, and general ledger maintenance.
Collaborating with internal and external stakeholders, including executives, department heads, auditors, and financial institutions. Communicating financial information, performance updates, and strategic recommendations effectively.
Ensuring compliance with financial regulations, laws, and reporting requirements.
Job Requirements
Candidates must possess a degree in Accounting/Finance or at least 3 years of related experience.
Knowledge and proficiency in Autocount.
Excellent communication skills.
High degree of accuracy, attention to details.
Willing to work beyond normal working hours as and when required
Any other duties as assigned by the Management from time to time.