Director Finance & Accounts

5 years

0 Lacs

Posted:16 hours ago| Platform: Linkedin logo

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Work Mode

On-site

Job Type

Full Time

Job Description

The Director - Finance & Accounts will oversee financial planning, manage financial budgeting, reporting activities, and ensure the accuracy of financial statements. Day-to-day responsibilities include analyzing financial data, driving strategic financial initiatives, and optimizing the organization's financial health. The role collaborates closely with cross-functional teams to streamline financial operations and enhance decision-making processes.


  • Managing the financial reporting for the organization. This includes monthly financial reporting, budgeting and forecasting, 5-year financial plans and all statutory financial reporting
  • Providing sound financial support and insights to enable the Management to take critical business decisions in a timely manner
  • Presentation of financial results and insights to the Management
  • Play a key role in the formulation of the business strategy
  • Managing and overseeing the taxation affairs of the organization and liaising with the external tax firm for specialist advice
  • Managing and overseeing the cash flow of the company & ensuring appropriate treasury controls
  • Managing External Auditor relationship and ensuring the organization is compliant with accounting standards
  • Managing and overseeing the company's banking and borrowing arrangements
  • Managing and overseeing the company’s financial systems
  • Recruitment, training, mentoring and development of Team member
  • Overseeing Accounts Payable, Accounts Receivable, Tax, Treasury, Payroll, Financial and Management Accounting functions.
  • Risk Management to ensure the business has a solid risk framework in place
  • Overseeing commercial decision making from margin analysis, pricing analysis etc.
  • Advising and implementing best practice methods to increase revenue and reduce costs


Key Aspects of the role

  • Financial Budgeting, Forecasting & Reporting
  • Balance sheet consolidation
  • AR control, cashflow management, financial ratios
  • Banking - cash credit limit, credit renewal
  • Insurance matters, FEMA, INDAS
  • Taxation - GST, Income Tax, direct & indirect taxes
  • Must have exposure to ERP - SAP / Microsoft / SAP S4
  • Forex accounts management


Qualifications

  • Strong skills in Financial Planning and Finance, including the ability to design and implement effective financial strategies.
  • Proficiency in preparing and analyzing Financial Statements and developing insights from financial data.
  • Exceptional Analytical Skills to interpret financial data and contribute to strategic decision-making.
  • Expertise in Financial Reporting, ensuring compliance & accuracy in reports for stakeholders and regulatory bodies.
  • Must be a qualified CA or CFA with minimum 15 years of experience.
  • Proven leadership experience in financial management roles.
  • Excellent organizational, communication, and interpersonal skills.

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