Finance Head - Manufacturing

WOW Softech

Mumbai

On-site

INR 600,000 - 900,000

Full time

14 days+

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Job summary

WOW Softech in Mumbai is looking for a finance professional responsible for managing financial operations, ensuring statutory compliance, and conducting treasury reviews. You will coordinate with plant teams, analyze profitability, and prepare cash flow forecasts.

The ideal candidate should have strong analytical skills, a good understanding of accounting standards, and hands-on experience with ERP systems.

Responsibilities

  • Monthly closing of Profit & Loss Account and Balance.
  • Handle statutory compliances related to company laws.
  • Manage banking relationships and working capital operations.
  • Coordinate with plant/accounts teams for accurate stock statements.
  • Analyze monthly costing, margins, and profitability.
  • Ensure compliance with taxation requirements.
  • Conduct monthly treasury review and liquidity management.
  • Develop and maintain effective MIS reports and KPI dashboards.
  • Monitor debtor ageing and collections management.
  • Prepare and review monthly cash flow statements.

Skills

Strong analytical and problem-solving skills
Good understanding of accounting standards and financial controls
Sound knowledge of direct & indirect taxation
Experience in treasury and banking operations
Hands-on exposure to ERP systems
Strong coordination and communication abilities
Attention to detail and process-oriented approach

Job description

Key Responsibilities
  • Monthly closing of Profit & Loss Account and Balance
  • Handle statutory compliances related to company laws in coordination with Company Secretary (CS)
  • Manage banking relationships, banking compliances, and working capital operations including LC documentation and processes
  • Coordinate with plant/accounts teams for accurate monthly stock statements and inventory reporting
  • Analyze monthly costing, margins, and profitability
  • Ensure compliance with direct and indirect taxation requirements
  • Conduct monthly treasury review including fund utilization and liquidity management
  • Develop and maintain effective MIS reports and KPI dashboards for management review
  • Monitor debtor ageing, collections, and receivables management
  • Prepare and review monthly cash flow statements and forecast
Desired Skills & Competencies
  • Strong analytical and problem-solving skills
  • Good understanding of accounting standards and financial controls
  • Sound knowledge of direct & indirect taxation
  • Experience in treasury and banking operations
  • Hands‑on exposure to ERP systems
  • Strong coordination and communication abilities
  • Attention to detail and process-oriented approach
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