Finance Manager

Mumbai Rozgaar

Mumbai

On-site

INR 2,800,000 - 3,800,000

Full time

14 days+
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Job summary

Mumbai Rozgaar in Mumbai seeks an experienced AGM Finance & Accounts to lead and coordinate accounting, financial reporting, taxation, treasury, working capital, compliance and internal controls. The role interfaces with senior finance leadership and cross-functional teams to ensure financial accuracy and strong governance.

The successful candidate will oversee statutory compliance, control design, and timely financial closing across India entities, while driving efficiency and strategic

Responsibilities

  • Accounting & Financial Closing: Manage accurate books of accounts in compliance with Indian GAAP and statutory requirements; support monthly, quarterly and annual financial closing; ensure accurate accounting of revenue, expenses, assets and liabilities; monitor reconciliation of GL, bank, vendor and customer accounts; drive process improvement and automation in accounting operations.

Job description

We are looking for a dynamic and experienced AGM Finance & Accounts to join a reputed organization in the Biotechnology sector.

Job Title: AGM Finance & Accounts
Job Summary

We are looking for an experienced AGM Finance & Accounts to manage and coordinate key functions across Accounting, Financial Reporting, Taxation, Treasury, Working Capital, Compliance and Internal

Controls

The role will work closely with senior finance leadership and cross-functional teams to ensure financial accuracy, statutory compliance, effective controls and operational efficiency.

Key Responsibilities
Accounting & Financial Closing
  • Manage accurate books of accounts in compliance with Indian GAAP and statutory requirements.
  • Support monthly, quarterly and annual financial closing.
  • Ensure accurate accounting of revenue, expenses, assets and liabilities.
  • Monitor reconciliation of GL, bank, vendor and customer accounts.
  • Drive process improvement and automation in accounting operations.
Financial Reporting & MIS
  • Prepare periodic MIS including P&L, Balance Sheet and Cash Flow statements.
  • Conduct variance analysis and cost tracking.
  • Support preparation of consolidated financial statements, including intercompany reconciliations and eliminations.
  • Ensure timely and accurate month-end and year-end closing with proper audit documentation.
Working Capital & Credit Control
  • Monitor receivables, payables and inventory.
  • Track ageing reports and ensure timely closure.
  • Coordinate with Sales, Supply Chain and Operations teams for working capital requirements.
  • Monitor bank limit utilisation and support related documentation.
  • Contribute towards improving the cash conversion cycle.
Treasury & Banking
  • Manage/support day-to-day treasury operations, fund transfers and banking transactions.
  • Monitor CC/OD limits, LC, BG and bank renewals.
  • Coordinate with banks and financial institutions.
  • Maintain records of borrowings, interest calculations and bank covenants.
Taxation & Compliance
  • Ensure timely TDS compliance, challans and return filings.
  • Prepare tax computations and coordinate with consultants for assessments and audits.
  • Ensure timely GST compliance across entities.
  • Handle GST notices and audit documentation.
  • Ensure ROC filings, statutory registers and Companies Act compliance documentation are completed within timelines.
  • Coordinate with statutory, tax and internal auditors.
Internal Controls & Governance
  • Implement finance SOPs and internal control processes.
  • Ensure effective maker-checker controls and proper documentation.
  • Conduct periodic internal reviews and identify process gaps and improvement opportunities.
Team & Stakeholder Management
  • Lead and mentor finance, accounting, treasury and payroll teams.
  • Work closely with Sales, Supply Chain, HR and Operations.
  • Coordinate with auditors, consultants and banks.
  • Provide timely financial information and support to management.
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