Chennai, Tamil Nadu, India
None Not disclosed
On-site
Full Time
Job Description: · Prepare month-wise cost sheets (Product/Standard Costing) · Knowledge of SAP CO module and cost run activities · BOM verification and cost analysis · Variance analysis for cost sheets and MRM · Cost audit & compliance knowledge · Create and control cost centers, analyze expenses · Prepare RFQs and reconcile Financial vs. Costing P&L · Inventory valuation and monthly verification · Annual budget preparation and capacity utilization analysis · RMC/BOP/Consumable reconciliation · Machine hour rate calculation · IRR/Payback period calculation · Capex preparation and monthly utilization comparison · Project-wise profitability analysis and monitoring Vendor price revision and system amendments
Ghaziabad, Uttar Pradesh, India
None Not disclosed
On-site
Full Time
1. Manager – Treasury Location: Corporate Office Qualification: M.Com/MBA/CA Inter Experience: 11-16 years in Treasury role Skills: SAP-ERP (FI), Advanced Excel, knowledge of management accounting, financial reporting, statutory compliances, UCP latest version. Budget : 17 Lacs Key Responsibilities: · Manage corporate banking operations: Term Loans, CC Limits, LC, BG, etc. · Handle fund management, corporate office accounting, MIS, GST and tax compliances. · Coordinate with auditors for statutory, tax and GST audits. · Maintain books of accounts, cash flow, vendor reconciliations. · Ensure statutory compliances and accurate financial reporting. · Support audits and closure of observations. Drive process standardization, cost optimization and adherence to policies
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