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Accounts And Finance Manager

5-10 Years
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  • Posted 13 days ago
  • Over 50 applicants
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Job Description

Key Responsibilities:

  • Financial Reporting & Analysis:
  • Oversee the preparation of timely and accurate financial statements, including balance sheets, profit and loss statements, and cash flow statements.
  • Analyze financial data and provide insights into profitability, trends, and key performance indicators (KPIs) to senior management.
  • Prepare monthly, quarterly, and annual financial reports for management and regulatory bodies.
  • Conduct variance analysis and explain any discrepancies between actual and budgeted figures.
  • Budgeting & Forecasting:
  • Lead the development and management of the annual budget, ensuring that all departments comply with the financial targets.
  • Prepare and maintain forecasts, including cash flow, and manage the financial impact of various business scenarios.
  • Provide financial recommendations based on current budgetary performance and market conditions.
  • Accounts Management:
  • Supervise the day-to-day operations of the accounting department, ensuring the accurate recording of financial transactions.
  • Oversee accounts payable and accounts receivable processes, ensuring timely payments and collections.
  • Ensure accurate and timely reconciliation of all bank accounts, general ledgers, and financial data.
  • Ensure all financial records are maintained in compliance with accounting principles and regulations.
  • Taxation & Compliance:
  • Ensure compliance with all relevant tax laws, including corporate tax, VAT, and payroll taxes, and oversee tax filings.
  • Prepare and file tax returns and reports in a timely manner to ensure the company adheres to local and international tax regulations.
  • Manage external audits and coordinate with auditors to ensure accurate and efficient audits.
  • Internal Controls & Risk Management:
  • Establish, implement, and monitor internal controls to safeguard company assets and ensure accuracy in financial reporting.
  • Develop and enforce financial policies and procedures to minimize financial risks and improve operational efficiency.
  • Identify potential financial risks and propose strategies for mitigation.
  • Cash Flow & Treasury Management:
  • Oversee cash flow management, ensuring the organization has adequate liquidity for operations and investments.
  • Monitor and optimize the company's working capital, managing debt, and equity to support business operations.
  • Team Management & Development:
  • Lead, supervise, and mentor the finance and accounting team to ensure productivity and efficiency.
  • Train team members on accounting principles, financial systems, and best practices.
  • Conduct performance reviews and set developmental goals for team members.
  • Strategic Planning Support:
  • Work closely with senior management to provide financial insights for strategic decision-making, business growth, and expansion plans.
  • Assist in evaluating new business opportunities, investments, and pricing strategies from a financial perspective.

More Info

Job Type:
Employment Type:
Open to candidates from:
Indian

About Company

We have a huge experience in recruitment for almost every industry from accounting to automobiles and from manufacturing to healthcare and IT. We strive to deliver excellence by understanding the necessity of our client and discovering true talent for them. "Optimizing performance" is what we constantly endeavor to deliver which not only helps us to hunt for the right talent in the market but also nurture a long term affiliation with our esteemed clients.

Job ID: 122085285

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