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Margdarshak · posted 7 months ago
Financial Reporting & Analysis: Prepare monthly, quarterly, and annual financial statements, conducting variance analysis to support management decisions.
Budgeting & Forecasting: Oversee budget creation, monitor financial health, and forecast trends to guide investments.
Compliance & Audit: Ensure adherence to tax laws (GST, TDS, direct/indirect tax) and coordinate internal/statutory audits.
Cash Flow Management: Manage accounts payable/receivable, bank reconciliations, and overall liquidity.
Strategic Planning: Provide insights into cost control, investment opportunities, and mergers/acquisitions.
Process Improvement: Implement internal controls and automate financial processes to improve efficiency.
Certification: Qualified Chartered Accountant (CA).
Experience: Generally 3-5+ years in corporate finance, auditing, or accounting.
Technical Skills: In-depth knowledge of Accounting Standards (IFRS, Ind AS), tax laws, and financial software (e.g., ERP systems).
Competencies: Strong analytical, communication, and problem-solving skills.