Manager - Accounts & Finance

MTC Business

Mumbai

On-site

INR 900,000 - 1,200,000

Full time

14 days+
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Job summary

MTC Business in Mumbai is seeking a qualified Chartered Accountant to oversee accounting operations and ensure financial discipline in alignment with organizational goals.

The successful candidate will manage books, prepare financial statements, handle GST and TDS filings, perform reconciliations, assist audits, and produce MIS reports. This role requires CA qualification and a hands-on, detail-oriented professional who can drive operational efficiencies.

Qualifications

  • Proficient in end-to-end accounting processes and close cycles.
  • Strong understanding of financial statements and compliance.
  • Experience with GST filings and TDS procedures.
  • Sound knowledge of bank and vendor reconciliations.
  • Experience supporting internal and statutory audits.
  • Ability to prepare MIS, variance analyses and reports.
  • Monitor AR/AP and ensure accurate ledgers.
  • Maintain proper documentation and records.

Responsibilities

  • Maintain accurate books of accounts and timely entry of transactions.
  • Prepare monthly, quarterly, and annual financial statements.
  • GST returns, TDS returns, and other statutory filings.
  • Perform bank and vendor reconciliations; scrutinize ledgers.
  • Assist in internal and statutory audits with required data.
  • Prepare MIS reports, variance analyses, and management reports.
  • Monitor accounts payable and receivable; ensure accuracy.
  • Ensure proper documentation and record-keeping.

Skills

Accounting
Financial reporting
GST filings
TDS filings
Bank reconciliation
Audits
MIS reporting
Accounts payable/receivable

Education

Chartered Accountant (CA)

Job description

Job Summary:

The incumbent will manage all accounting operations. The role requires a hands-on professional with relevant experience. The candidate has to be capable of ensuring accounting & financial discipline, and support in operational efficiencies in alignment with organizational goals.

Key Responsibilities:
  • Maintain accurate books of accounts and ensure timely entry of transactions
  • Support in preparing and finalizing monthly, quarterly, and annual financial statements
  • GST returns, TDS returns, and other statutory filings
  • Perform bank reconciliation, vendor reconciliation, and ledger scrutiny
  • Assist in internal and statutory audits, providing necessary data and explanations
  • Prepare MIS reports, variance analysis, and management reports
  • Monitor accounts payable and receivable
  • Ensure proper documentation and record-keeping

Note: We are looking for a Qualified CA.

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