Job Title: Manager – Financial Analysis
Reports to:
Unit Finance Controller
Level/ Band:
MIL
BU/ Division:
Finance
Location:
Halol, Gujarat
Function
Sub Function:
FP&A
Reportee (Nos):
0
Years of Exp:
4-7 years
Qualification:
CA
Role & Key Deliverables
This position is to provide effective Financial Accounting & Control for
Manufacturing & Commercial function for the Plant.
Essential Duties and Responsibilities
General Accounting & Book Closure
-
Performing General Ledger Scrutiny & reconciliations on
Monthly/Quarterly/Yearly basis
-
Ensuring compliance with Month End Check list for month end closure as per
organizational requirement
-
Review & Booking of Accruals through close coordination with
cross-functional teams to ensure completeness & accuracy
-
Review & Booking of Prepaid expenses through close monitoring & regular
updating
-
Ensure Balance sheet GL SL reconciliation for key GLs on Monthly/Quarterly
basis
Statutory, Internal & Other Audit Support
-
Preparation of Balance Schedules in the format circulated by the Central
Audit team
-
Ensure that all schedules are tied up with GLs & necessary reconciliation
provided
- Providing necessary input for periodic internal audits & inspections
- Coordination for Internal & external Physical Inventory verifications
-
Assessing & addressing various audit queries raised during Statutory/ Tax/
Transfer Pricing/ Physical Verification/ & departmental audits conducted by
Internal/ External or departmental authorities
Management Reporting, Monitor and Analysis
- Monitor expenses vs budget
-
Analyze variances between budget and actuals at all P&L line items including
raw material and manufacturing overheads
- Working capital tracking and reporting
- Segment level/ Brand level profitability analysis and reporting
-
Preparation of monthly financial statements with analysis for management
reporting
- Preparation of annual budgets
-
Regular reviews with Plant Admin & Management team for control &
improvements
Tax Compliance
-
Validation of periodic returns data for GST/TDS/TCS or any other statutory
return/information that required to be furnished as per requirement
-
Responding to tax notices/queries raised by various statutory authorities
- Ensuring Tax GL reconciliation with ERP GL on monthly/periodic basis
-
ITC matching with 2A/2B & relevant accounting effects (eg. Reversal,
deferral etc.)
- Coordination for various Departmental audits
-
Furnishing required inputs/details in a timely manner to facilitate
departmental audit/inspection
Capex Accounting, Monitoring & Tracking
- Monitoring Capex with respect to PO/LOI commitment
-
Validation of Note for approval (NFA) for proposed capital expenditure
against respective budgets
-
Review of CWIP List for long pending items & ensure its timely settlement
-
Coordination for installation confirmation from user/buyer for timely
capitalization
- Preparation of Monthly asset register & submission for further review
- Ensuring Physical Verification & Tagging of assets as per guidelines
-
Facilitating Disposal/Transfer of assets as per guidelines & approvals
-
Ensuring appropriate accounting effects wrt to assets
acquisition/transfer/disposal & scrapping of assets
Skillsets
Managerial & Leadership
- Good Interpersonal Skill
- Good Excel & Analytical Skills
-
Ability to work across all levels and cross-functional teams & organizations
of the unit
- Timely delivery with accuracy
Technical & Functional
IT & Computer
- Understanding of SAP (S4 HANA)
- MS Excel
People/ Soft Skills
- Good Communication & Analytical Skills
Interactions
Internal
All functions
External
NA