Manager-Accounts & Finance

10 years

0 Lacs

Posted:1 week ago| Platform: Linkedin logo

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Work Mode

On-site

Job Type

Full Time

Job Description

Experience:

Qualification:


Job Summary:

Manager – Accounts & Finance


Key Responsibilities:


Accounts & Financial Management

  • Oversee day-to-day accounting functions in compliance with accounting principles and organizational policies.
  • Preparation and finalization of financial statements, including

    Balance Sheet, P&L Account, and Cash Flow Statements

    .
  • Manage fund allocation, mutual funds, and securities (scripts) investments.
  • Ensure accurate

    bank reconciliation, foreign remittances, and BG (Bank Guarantee)

    management.
  • Supervise monthly, quarterly, and annual financial closing and reporting.

GST Compliances

  • Ensure correct and timely

    GST registration

    and amendments (if required).
  • Issue and review

    GST-compliant invoices, debit/credit notes

    , and maintain proper documentation.
  • Manage

    Input Tax Credit (ITC)

    reconciliation with suppliers’ returns (GSTR-2B).
  • Prepare and file

    GSTR-1, GSTR-3B, GSTR-9, and GSTR-9C

    accurately within timelines.
  • Handle

    e-invoicing and e-way bills

    as per GST requirements.
  • Ensure GST compliance for

    imports, exports, LUT filing, and refunds

    .
  • Coordinate with auditors for

    GST audit

    and respond to notices/assessments from authorities.

Taxation & Compliance

  • Ensure timely filing and compliance of

    TDS, Advance Income Tax

    etc.
  • Monitor advance tax liabilities and ensure accurate calculation & timely payments.
  • Handle statutory audits, tax assessments, and liaise with auditors and consultants.
  • Maintain compliance with government regulations, financial laws, and company policies.

Contracts & Agreements

  • Clients billing and follow up with clients for regarding payment.
  • Review, draft, and manage

    contracts, agreements, and financial clauses

    with clients and vendors.
  • Ensure financial risk assessment and compliance in agreements.

Banking & Treasury Operations

  • Manage relationships with banks for guarantees, and other facilities.
  • Handle

    BGs/PBGs, Solvency Certificate, foreign payments, and fund transfers

    efficiently.

Systems & Processes

  • Ensure efficient use of accounting software (Tally/ERP or equivalent).
  • Implement process improvements for financial efficiency, accuracy, and compliance.
  • Train and supervise the accounts team, ensuring smooth workflow.


Key Skills & Competencies:

  • Strong knowledge of

    Accounting Standards, GST, TDS, Advance Tax, and Income Tax

    .
  • Expertise in

    Mutual Funds, Securities, and Investment Accounting

    .
  • Proven experience in handling

    contracts, agreements, and client billing

    .
  • Hands-on experience in

    foreign payments, bank reconciliation, BGs/PBGs.

  • Proficiency in

    accounting software (Tally/ERP), MS Excel, and financial tools

    .
  • Excellent analytical, problem-solving, and decision-making skills.
  • Strong communication and leadership abilities.


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