5 years

3 - 4 Lacs

Posted:6 hours ago| Platform: GlassDoor logo

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Work Mode

On-site

Job Type

Full Time

Job Description

Job Description:
We are seeking a highly skilled and detail-oriented professional to manage our financial operations. The ideal candidate will be responsible for maintaining accurate financial records, ensuring compliance with tax regulations, supporting audits, and providing financial insights to guide strategic decisions. The candidate must also be capable of preparing and finalizing books of accounts up to the Profit & Loss (P&L) statement, trial balance, and balance sheet.

Key Responsibilities:

  • Financial Record Maintenance:
  • Maintain accurate and up-to-date financial records, ensuring transparency and accuracy in all transactions.
  • Prepare and review regular financial statements to track the company's financial health.
  • Accounts Payable and Receivable:
  • Oversee accounts payable processes to ensure timely and accurate payments to vendors and suppliers.
  • Manage accounts receivable to ensure the prompt collection of outstanding payments.
  • Reconcile accounts regularly to maintain accuracy in financial records.
  • Tax Compliance:
  • Prepare and file tax returns in accordance with local and national tax laws.
  • Stay informed about changes in tax legislation and regulations.
  • Assist in tax planning to optimize financial strategies and reduce liabilities.
  • Financial Reporting:
  • Generate and present financial reports to management and external stakeholders.
  • Ensure compliance with accounting standards and principles.
  • Collaborate with senior leadership to provide insights for decision-making.
  • Audit Support:
  • Facilitate and support internal and external audits.
  • Prepare schedules and assist with audit inquiries to ensure a smooth audit process.
  • Financial Analysis:
  • Conduct in-depth financial analysis to support business decisions.
  • Identify key trends, opportunities, and potential risks to inform strategic planning.
  • Provide actionable financial insights to leadership to drive business growth.
  • Cash Management:
  • Manage and optimize cash flow to ensure adequate liquidity for day-to-day operations.
  • Develop and implement effective cash management strategies.
  • Collaboration and Guidance:
  • Work closely with cross-functional teams, including operations, sales, and management, to align financial goals.
  • Provide financial guidance to other departments to support organizational objectives.
  • Preparation and Finalization of Books:

· Capable of preparing and finalizing books of accounts, including the preparation of the Profit & Loss (P&L) statement, trial balance, and balance sheet.

· Ensure accuracy and completeness in financial statements, reflecting the true financial position of the company.

Required Skills and Qualifications:

  • Strong understanding of accounting principles, tax regulations, and financial reporting.
  • Excellent communication and interpersonal skills.
  • Strong analytical and problem-solving abilities.

Job Types: Full-time, Permanent

Pay: ₹30,000.00 - ₹40,000.00 per month

Education:

  • Bachelor's (Preferred)

Experience:

  • Accounting: 5 years (Required)
  • Tally: 5 years (Required)
  • total work: 5 years (Required)

License/Certification:

  • CA-Inter/CA/CMA/CS (Required)

Work Location: In person

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