Assistant Manager

Nexdigm (SKP)

Cyber City

Sur place

INR 600 000 - 1 200 000

Plein temps

Il y a 4 jours
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Résumé du poste

Nexdigm (SKP) in India is seeking a qualified finance professional to manage core finance, accounting, compliance and treasury activities. The role requires a strong accounting foundation, analytical mindset and the ability to independently drive financial closure and reporting while collaborating with senior finance leadership.

You will handle day-to-day accounting, month-end close, balance sheet and P&L reporting, P2P and O2C cycles, GST and TDS compliance, audits, and treasury cash flow

Qualifications

  • Strong accounting, reporting and controllership experience.
  • Hands-on exposure to audit, taxation and compliance matters.
  • Experience in monthly financial closure and preparation of financial statements.
  • Strong analytical and reconciliation skills.
  • Good understanding of banking and treasury operations.
  • Proficient in MS Excel.
  • Hands-on experience in Tally Prime.
  • Exposure to process improvements and finance automation initiatives.
  • Familiarity with Gen AI tools will be an added advantage.

Responsabilités

  • Day-to-day accounting and financial control.
  • Monthly book closure, trial balance review and financial statement preparation.
  • Balance Sheet, P&L and Cash Flow reporting.
  • Analytical review of revenues, expenses, accruals and financial movements.
  • Vendor management and Procure-to-Pay (P2P) process.
  • Receivables management and Order-to-Cash (O2C) process.
  • GST, TDS and related compliance activities.
  • Coordination and handling of statutory, internal and tax audits.
  • Treasury support including cash flow management, banking relationships, investments, FDs and fund deployment.
  • Coordination with payroll, CS and other external advisors.
  • Team management and stakeholder coordination.

Connaissances

Accounting
Financial reporting
Analytical skills
Controllership
Audit & Tax
Stakeholder management
Treasury operations
Process improvement
Gen AI awareness

Outils

MS Excel
Tally Prime

Description du poste

Role Overview

We are looking for a qualified finance professional to support and manage core finance, accounting, compliance and treasury activities. The role requires a strong accounting foundation, analytical mindset and ability to independently drive financial closure and reporting processes while working closely with senior finance leadership.


Key Areas of Responsibility

  • Day-to-day accounting and financial control
  • Monthly book closure, trial balance review and financial statement preparation
  • Balance Sheet, P&L and Cash Flow reporting
  • Analytical review of revenues, expenses, accruals and financial movements
  • Vendor management and Procure-to-Pay (P2P) process
  • Receivables management and Order-to-Cash (O2C) process
  • GST, TDS and related compliance activities
  • Coordination and handling of statutory, internal and tax audits
  • Treasury support including cash flow management, banking relationships, investments, FDs and fund deployment
  • Coordination with payroll, CS and other external advisors
  • Team management and stakeholder coordination

Desired Candidate Profile

  • Strong accounting, reporting and controllership experience
  • Hands-on exposure to audit, taxation and compliance matters
  • Experience in monthly financial closure and preparation of financial statements
  • Strong analytical and reconciliation skills
  • Good understanding of banking and treasury operations
  • Proficient in MS Excel
  • Hands-on experience in Tally Prime
  • Exposure to process improvements and finance automation initiatives
  • Familiarity with Gen AI tools will be an added advantage

Preferred Industry Exposure: BFSI, Insurance or Service industry background preferred, though not mandatory.


Other Requirements: Strong ownership mindset, attention to detail, ability to work independently and manage multiple stakeholders. Immediate to 30 days notice period preferred (negotiable for suitable candidates).

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