Job Description
- The Person must be well-versed in all aspects of financial management ranging from simple
accounting to broad investment, Taxation and banking operations. - The goal is to protect the company's revenues and profits to achieve full financial control and sustainable growth.
- Driving the company's financial planning
- Performing risk management by analyzing the organizations liabilities and investments
- Deciding on investment strategies by considering cash and liquidity risks
Key Responsibility Area:
- Finalize the Books of Accounts encompassing preparation of accounts payable and receivables, balance sheet, bank reconciliation statements, ledgers, etc.
- Follow up for collection of rent, CAM, water, EDDG amounts from all the tenants.
- Contribute to decisions regarding financial strategy and preparation of Monthly Consolidated P&L and Balance Sheet.
- Should be well versed with the Professional tax, Service tax, VAT etc.
- Prepare & maintain statutory books of accounts (Trial Balance, Profit & Loss Account & Balance Sheet) and scrutinizing the Company Branch Accounts.
- Formulate budgets and conduct variance analysis to determine difference between projected & actual results and implement corrective actions.
- Handle matters related to Income Tax, Service Tax, Professional Tax, CST and VAT; filing tax returns and ensure timely assessment as per provisions of respective Tax and VAT Acts.
- Work in coordination with the management on a regular basis for reviewing financial status of the company.
- Liaising with Statutory Auditors for reporting & filing of reports.
- Ensured that the statutory requirements like filing of reports with the Government offices are done before the due date.
- Collate, prepare and interpret reports, budgets, accounts and financial statements
- Develop and analyze information to assess the current and future financial status of organization.
- Monitor risk management policies and procedures to ensure that program and organizational risks are minimized.
- Manage the cash flow and prepare cash flow forecasts in accordance with policy.
- Prepare financial and regulatory reports required by laws, regulations, and boards of directors.
- Review collection reports to determine the status of collections and the amounts of outstanding balances.
Desired Candidate Profile
Expertise:
At least 8 - 10 years in management position
- Leadership skills
- Analytical and Problem-solving skills
- Finance management skill
- Excellent accounting Skills
Qualification:
A post graduate degree or equivalent qualification or a recognized qualification in Finance.
CA, ICWA or any Financial certification will be an add on.
Salary Budget: Open
Gender Preferred: Female
Age Criteria: 30-40
Preferred shift hours/timings: 12 hours
Week off: 1 day
If interested, please drop an email with your updated resume or contact me on the below no.
Regards,
Lakshmi K
Senior HR Recruiter
Contact No -7619296***
Email- mg**********r@***.ind.in
AIR Institute of Realization
Job Classification
Industry: NGO, Social Services, Regulators, Industry Associations
Functional Area: Accounts, Finance, Tax, Company Secretary, Audit,
Role Category: Senior Management
Role: Senior Management
Employement Type: Full time
Education
Under Graduation: B.Com in Any Specialization, B.B.A / B.M.S in Management
Post Graduation: ICWA (CMA) in ICWA (CMA), CA in Any Specialization, CS in Any Specialization
Contact Details:
Company: iR Institute of Realization
Address: Kemport Mall, Murugesh palya , HAL 2nd Stage, Bangalore-560017
Location(s): Bengaluru
Keyskills:
Financial Statements
Taxation
Financial Management
Financial Planning
Financial Control
Variance Analysis
Budgeting
Bank Reconciliation
Branch Accounting