Key Responsibilities
- Timely preparing pricing & costing of products to leadership teams for business decisions.
- Budgeting & Forecasting of annual budgets and monitoring of utilisation of same.
- Review Accounts receivable/ Accounts payable withrespect to financial impact & controls.
- Oversee of all cash transactions, general ledger entries related activities.
- Managing cash flow and treasury operations.
- Preparing financial statements.
- Compliance to internal and statutory control procedures and laws
- Preparing financial documents, input and output records, including General Ledger and Trial Balance
- Plan and implement cost control and improvement initiatives
- Coordination and Interface
- Liaise with statutory /internal auditor to coordinate audit of books and reports
- Management of performance, capability and morale
Technical skills and knowledge
- Deep Pricing, Costing, data analysis, planning and forecasting skills
- In-depth knowledge of accounting and finance operations laws, regulations, concepts and trends
- Knowledge of SAP software
- Strong communication skill
- Ability to develop and institutionalize new financial processes and controls
- Knowledge of company's strategy, structure and practices
- Good interpersonal skills and confidence in interfacing with all levels of people, internally and externally
- Strong negotiation and relationship management skills
- Other-Open to travel within & outside India