Posted:2 months ago| Platform:
Work from Office
Full Time
Roles & Responsibilities - Financial Planning & Analysis (FP&A): Develop financial models, forecasts, and reports for decision-making and trend analysis. Accounting & Bookkeeping: Maintain financial records and prepare statements while ensuring compliance with accounting principles and regulations. Cash Flow Management: Monitor cash position, manage receivables/payables, and optimize working capital. Cost Control & Budgeting: Control costs, review budgets, and advise departments on budget allocation and spending. Tax Planning & Compliance: Ensure tax compliance, file returns, and advise on tax strategies to optimize performance. Financial Reporting & Audit : Prepare financial reports, ensure transparency and co-ordinate with auditors . Qualification B. Com with 10-12 years of experience of handling entire Accounts & finance activities independently.
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