Head / Senior Manager – Accounts & Finance

sspgroup

Bengaluru

Sur place

INR 1 800 000 - 2 800 000

Plein temps

14 jours+
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Avantages offerts par ce poste

Competitive salary
Performance incentives

Résumé du poste

SSP Group is seeking a seasoned Head / Senior Manager – Accounts & Finance to lead the finance function at our Hebbal, Bangalore office. You will oversee banking, treasury, accounts payable, GST/TDS compliance and day-to-day bookkeeping across our real estate operations, while providing analytical insights to management.

The ideal candidate will have 7+ years in Accounts & Finance, with leadership experience, deep knowledge of accounting standards, GST/TDS, and strong internal controls across

Qualifications

  • 7+ years of experience in Accounts & Finance.
  • Experience in real estate industry preferred.
  • Strong knowledge of GST, TDS and statutory regulations.
  • Proven leadership and team-management experience in a finance role.

Responsabilités

  • Banking & Treasury Management: daily and monthly reconciliation; treasury reporting; liaison with banks; documentation for banking needs.
  • Accounts Payable: timely booking, payments, tax compliance and vendor reconciliations.
  • Day-to-Day Book Keeping: real-time entries, reconciliations, audit support and project costing.
  • Prepare management reports and financial statements, including MIS, for month-end/year-end closes and decision support.

Connaissances

Leadership
GST & TDS
Advanced MS Excel
Banking & Treasury

Outils

Tally
Accounting software
MS Excel

Description du poste

Head / Senior Manager – Accounts & Finance
Job Position:

Head / Senior Manager – Accounts & Finance

Male
Location:
Experience Required:

7+ years of experience in Accounts & Finance, preferably within the real estate industry.

Jobs Description

SSP Group is seeking an experienced Head / Senior Manager – Accounts & Finance to lead the finance function at our Hebbal, Bangalore office. The role oversees banking and treasury management, accounts payable, statutory compliance and day-to-day bookkeeping across our real estate operations, while providing analysis and recommendations to management.

The ideal candidate is a seasoned finance professional with strong leadership skills, in-depth knowledge of accounting standards, GST, TDS and other statutory regulations, and the ability to build robust internal controls and coordinate effectively across departments and with banking partners.

Roles and Responsibilities

Banking & Treasury Management

  • Daily and monthly reconciliation of bank statements with accounts.
  • Prepare and share the daily bank balance & treasury report with management.
  • Coordinate with banks and complete documentation for opening bank accounts, change of signatories, resolving issues, etc.
  • Complete documentation for giving effect to investments.

Accounts Payable

  • Timely, error-free booking and payment of bills, advances and taxes.
  • Monthly closure of open advances by coordinating with other departments.
  • Vendor history checking & recommendation.
  • Monthly reconciliation of vendor ledgers.
  • Adherence to all internal controls.
  • GST & TDS compliance (payments, returns, reconciliations, etc.) and PF, ESI & PT filing.

Day-to-Day Book Keeping

  • Real-time accounting entries.
  • Reconciliations.
  • Preparation of statements and schedules for audits, MIS and any other purpose as required.
  • Invoice entry and project costing.
  • Assist with preparation of financial reports, including income statements, balance sheets and cash flow statements.
  • Assist in month-end and year-end close processes.
  • Prepare regular financial reports for management, providing analysis and recommendations where necessary.
Requirements
  • Strong command of accounting principles, GST, TDS and other statutory compliances.
  • Proven leadership and team-management experience in a finance role.
  • Proficiency in Tally / accounting software and advanced MS Excel.
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