Accounts And Finance Manager

V Square Infra

Chennai District

In loco

INR 900.000 - 1.300.000

Tempo pieno

9 giorni fa
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Descrizione del lavoro

V Square Infra in Chennai, India, seeks an experienced Finance & Accounts Manager to oversee finance and accounting operations, budgets, cash flow, MIS and financial reports. The role requires leadership of the Accounts & Finance team and interactions with auditors and authorities.

You will handle accounts payable/receivable, GST, TDS, payroll coordination, and ensure statutory compliances, bank reconciliations, and internal controls.

Mansioni

  • Manage overall finance and accounting operations of the company.
  • Prepare and monitor budgets, cash flow, MIS and financial reports.
  • Handle accounts payable, receivables, vendor payments and collections.
  • Ensure timely GST, TDS, PF, ESI and other statutory compliances.
  • Review and maintain Tally/ERP accounting records and financial transactions.
  • Prepare and verify monthly, quarterly and annual financial statements.
  • Monitor bank reconciliations, ledger scrutiny and expense controls.
  • Coordinate with auditors, consultants, banks and statutory authorities.
  • Monitor project-wise costing, expenses and profitability.
  • Ensure proper invoice verification, billing and payment processing.
  • Manage payroll-related financial coordination and salary processing.
  • Establish effective internal controls and financial procedures.
  • Support management in financial planning and decision-making.
  • Supervise the Accounts & Finance team and allocate responsibilities.
  • Ensure accuracy, confidentiality and timely completion of all financial activities.

Descrizione del lavoro

Finance & Accounts Manager Roles & Responsibilities
  • Manage overall finance and accounting operations of the company.
  • Prepare and monitor budgets, cash flow, MIS and financial reports.
  • Handle accounts payable, receivables, vendor payments and collections.
  • Ensure timely GST, TDS, PF, ESI and other statutory compliances.
  • Review and maintain Tally/ERP accounting records and financial transactions.
  • Prepare and verify monthly, quarterly and annual financial statements.
  • Monitor bank reconciliations, ledger scrutiny and expense controls.
  • Coordinate with auditors, consultants, banks and statutory authorities.
  • Monitor project-wise costing, expenses and profitability.
  • Ensure proper invoice verification, billing and payment processing.
  • Manage payroll-related financial coordination and salary processing.
  • Establish effective internal controls and financial procedures.
  • Support management in financial planning and decision-making.
  • Supervise the Accounts & Finance team and allocate responsibilities.
  • Ensure accuracy, confidentiality and timely completion of all financial activities.
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