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Chartered Accountant

LK Infra

Navi Mumbai

On-site

INR 6,00,000 - 10,00,000

Full time

10 days ago

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Job summary

An established industry player is seeking a proficient Chartered Accountant to join their dynamic team. This role focuses on ensuring seamless financial operations and compliance while driving impactful projects in infrastructure development. You will be responsible for accounting, financial reporting, taxation, and financial analysis, contributing to the strategic planning of the organization. If you possess strong analytical skills and a deep understanding of accounting standards and taxation laws, this is a fantastic opportunity to shape the future of infrastructure in a thriving company.

Qualifications

  • Expertise in taxation and finance for seamless financial operations.
  • Strong understanding of accounting standards and compliance.

Responsibilities

  • Prepare and present financial statements as per statutory requirements.
  • Handle direct and indirect tax compliance and ensure timely filing.

Skills

Analytical Skills
Problem-Solving Skills
Accounting Standards Knowledge
Taxation Laws Knowledge
Tally ERP Proficiency
QuickBooks Proficiency
Tax Planning
Financial Planning

Education

Chartered Accountant Certification

Tools

Tally ERP
QuickBooks

Job description

Lk infra is a leading infrastructure company with a strong focus on excellence and innovation. We are seeking a proficient Chartered Accountant with expertise in handling taxation and finance to ensure seamless financial operations and compliance. Join us to be part of a dynamic organization driving impactful projects and shaping the future of infrastructure development.

Role & Responsibilities
  1. Accounting & Financial Reporting:
    • Prepare, analyze, and present financial statements as per statutory requirements.
    • Ensure accurate and timely month-end and year-end closure of accounts.
  2. Taxation:
    • Handle direct and indirect tax compliance (GST, TDS, Income Tax, etc.).
    • Ensure adherence to all regulatory requirements and timely filing of returns.
  3. MIS & Financial Analysis:
    • Prepare Management Information System (MIS) reports and dashboards.
    • Conduct financial analysis to evaluate business performance and profitability.
  4. Treasury & Cash Flow Management:
    • Oversee cash flow planning and ensure liquidity.
    • Manage banking relationships and ensure optimal utilization of funds.
  5. Budgeting:
    • Develop budgets and financial forecasts to support strategic planning.
    • Implement and maintain effective financial controls to safeguard company assets.
Required Skills
  • Strong analytical and problem-solving skills.
  • In-depth knowledge of accounting standards and taxation laws.
  • Proficiency in accounting software like Tally ERP, QuickBooks, etc.
  • Tax planning and Financial planning
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