Posted:1 day ago|
Platform:
On-site
Full Time
Develop and maintain financial models to support strategic decision-making thereby providing insightful analysis of financial performance, identifying trends, and making recommendations for improvement. 2 Lead the budgeting process, working closely with department heads to develop accurate and realistic budgets. 3 Prepare and present timely and accurate financial statements, reports, and analysis. 4 Ensure compliance with relevant accounting standards, regulations, and reporting requirements 5 Manage cash flow and liquidity to support operational requirements 6 Identify and assess financial risks, implementing measures to mitigate and manage them 7 Oversee tax compliance, working closely with external tax advisors. 8 Coordinate and liaise with external auditors to facilitate annual audits 9 Stay abreast of changes in tax laws and regulations, ensuring the company's adherence 10 Ensure compliance with internal controls and implement improvements as needed 11 Implement effective cash flow forecasting and optimization strategies 12 Monitor and analyze budget variances, providing timely explanations and recommendations 13 Ensure meticulous adherence to all statutory requirements, regulations, and reporting obligations 14 Oversee and execute forex transactions with precision, managing exposure and optimizing currency-related financial outcomes. 15 Manage and ensure timely compliance with all tax obligations, including income tax, corporate tax, and any other relevant taxes. 16 Conduct thorough reviews of financial advices, providing insights and recommendations to enhance financial decision-making. 17 Monitor and implement Goods and Services Tax (GST) compliance measures, ensuring accuracy and timeliness in reporting. 18 Manage financial litigation matters, collaborating with legal teams to resolve issues effectively. Implement proactive strategies to minimize legal and financial risks. 19 Oversee the efficient management of funds, optimizing returns while mitigating associated risks. 20 Evaluate and recommend financial instruments to enhance treasury efficiency. 21 Strategically leverage debt to optimize the financial structure and achieve cost-effective capital. 22 Implement and integrate technological solutions to enhance legal and financial processes. 23 Stay updated on regulations such as the Foreign Exchange Regulation Act (FERA) and the Foreign Exchange Management Act (FEMA). Skills: auditing,tax,risk assessment,invoicing,communication,audit,financial reporting,risk management,financial litigation management,payroll,goods and services tax (gst),finance,debt optimization,technological solutions integration,technological integration,financial modeling,invoicing management,payroll management,tax compliance,financial litigation,audit coordination,invoice managment,financial analysis,mis reporting,process improvement,budgeting,treasury management,statutory requirements,forex transactions,team leadership,cash flow management,compliance,gst compliance Show more Show less
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Mumbai Metropolitan Region
Experience: Not specified
Salary: Not disclosed
Mumbai Metropolitan Region
Experience: Not specified
Salary: Not disclosed