CA-Senior Manager

Kanodia Cement

Dadri

On-site

INR 3,000,000 - 5,500,000

Full time

4 days ago
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Job summary

Kanodia Cement is seeking a seasoned CA to lead financial management at its manufacturing operations in Uttar Pradesh. The role requires overseeing the balance sheet, P&L, cash flows, and close cycles, while ensuring compliance with accounting standards and GST/tax regulations.

You will manage audits, cost accounting, banking and fund management, and coordination of IPO-related activities, reporting to senior leadership.

Qualifications

  • Qualified Chartered Accountant (CA) mandatory.
  • 10+ years post-qualification experience.
  • Minimum 5-8 years of experience in a manufacturing industry.
  • Strong knowledge of accounting standards, taxation, and compliance.

Responsibilities

  • Preparation and finalization of Balance Sheet, P&L, and cash flow statements.
  • Overseeing monthly, quarterly, and annual financial closing.
  • Ensuring accuracy of financial records and compliance with accounting standards.
  • Handling project accounting and cost monitoring.
  • Managing Statutory Audit, Internal Audit, and Tax Audit processes.
  • Coordinating with auditors and ensuring timely closure of audit observations.
  • Overseeing GST compliance, returns, reconciliations, and assessments.
  • Handling direct and indirect tax matters.
  • Monitoring cost accounting and cost control systems.
  • Inventory valuation and stock reconciliation.
  • Banking operations, fund flow, and working capital management.
  • Managing banking relationships, loan documentation, and credit facilities.
  • Knowledge and exposure to IPO processes and corporate finance structuring.
  • Ensuring compliance with corporate governance norms.
  • Monitoring and accounting of CSR expenses as per statutory guidelines.
  • Reconciliation & Controls.
  • Leading and mentoring a team of finance professionals.

Skills

Financial analysis
Audit management
Taxation & GST
Cost accounting
Banking & fund management
IPO knowledge
Leadership & team management
Analytical & problem-solving
MS Excel

Education

Chartered Accountant (CA)

Tools

ERP systems
MS Excel

Job description

Role & responsibilities:-
Financial Management & Reporting
  • Preparation and finalization of Balance Sheet, P&L, and cash flow statements
  • Overseeing monthly, quarterly, and annual financial closing
  • Ensuring accuracy of financial records and compliance with accounting standards
  • Handling project accounting and cost monitoring
Audit & Compliance
  • Managing Statutory Audit, Internal Audit, and Tax Audit processes
  • Coordinating with auditors and ensuring timely closure of audit observations
  • Ensuring adherence to financial regulations and corporate policies
Taxation & GST
  • Overseeing GST compliance, returns, reconciliations, and assessments
  • Handling direct and indirect tax matters
  • Managing tax planning and statutory tax compliance Costing & Inventory
  • Monitoring cost accounting and cost control systems
  • Inventory valuation and stock reconciliation
  • Working closely with production and stores teams in a manufacturing setup Banking & Fund Management
  • Handling banking operations, fund flow, and working capital management
  • Managing banking relationships, loan documentation, and credit facilities .
IPO & Corporate Matters
  • Knowledge and exposure to IPO processes and corporate finance structuring
  • Ensuring compliance with corporate governance norms
CSR & Regulatory
  • Monitoring and accounting of CSR expenses as per statutory guidelines
  • Ensuring compliance with Companies Act provisions Reconciliation & Controls
Team Management
  • Leading and mentoring a team of 57 finance professionals
  • Delegating responsibilities and ensuring performance standards
Qualifications & Experience
  • Qualified Chartered Accountant (CA) Mandatory
  • 10+ years of post-qualification experience
  • Minimum 5-8 years of experience in a manufacturing industry
  • Strong knowledge of accounting standards, taxation, and compliance
Preferred candidate profile
  • Financial analysis & reporting
  • Audit management
  • Taxation & GST expertise
  • Cost accounting
  • Banking & fund management
  • IPO knowledge
  • Leadership and team management
  • Strong analytical and problem-solving skills
  • Proficiency in ERP systems and MS Excel
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