Sr. Finance Executive (CA inter)- Mumbai

5 years

0 Lacs

Mumbai Metropolitan Region

Posted:1 day ago| Platform: Linkedin logo

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Skills Required

finance analysis support reports compliance regulations payments flow forecasting auditing documentation efficiency management risk accounting reporting excel software communication audits erp

Work Mode

On-site

Job Type

Full Time

Job Description

Company Overview Hiring for one of our client in Financial Industry. Role Responsibilities Conduct detailed financial analysis to support strategic decision-making. Prepare and review financial statements and reports in compliance with industry standards. Assist in preparing the annual budget and monitor expenditures against the budget. Ensure adherence to tax regulations and manage tax filings and payments. Perform cash flow forecasting and manage cash balances effectively. Support the auditing process by ensuring accurate financial records and documentation. Coordinate with internal and external stakeholders regarding finance-related inquiries. Supervise and mentor junior finance team members. Contribute to process improvements to enhance financial efficiency. Prepare financial reports for management and present findings and recommendations. Monitor compliance with regulatory requirements and internal policies. Assist in conducting risk assessments and financial assessments. Manage accounts payable and receivable activities. Engage in special projects and financial modeling as required. Keep abreast of the latest financial regulations and best practices. Qualifications CA Inter qualification is mandatory. Minimum of 5 years of experience in finance or accounting roles. Strong knowledge of financial regulations and reporting standards. Proficient in Microsoft Excel and financial software applications. Excellent analytical and problem-solving skills. Proven experience in budget management and cost control. Strong verbal and written communication abilities. Demonstrated attention to detail and accuracy in financial reporting. Ability to work collaboratively in a team environment. Experience in preparing for audits and compliance reviews. Capability to handle multiple tasks and meet deadlines. Understanding of cash flow management techniques. Excellent organizational and time-management skills. Experience with ERP and accounting software is a plus. Willingness to adapt to a fast-paced and changing work environment. Strong ethical standards and professionalism in financial practices. Skills: cash flow forecasting,budget management,financial modeling,tax compliance,financial analysis,tds,cash flow,cash flow management,communication skills,erp software,team supervision,compliance,auditing,management,financial reporting,gst,finance,microsoft excel Show more Show less

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