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Financial Reporting:
- Prepare monthly, quarterly, and annual financial statements, including Profit & Loss, Balance Sheet, and Cash Flow statements.
- Oversee financial audits, ensuring compliance with regulatory requirements.
- Develop financial models to forecast revenues, expenses, and cash flow for budgeting and decision‑making.
Accounts Management:
- Ensure timely closure of books of accounts and financial reporting.
- Manage accounts receivable and payable functions, including vendor management.
- Supervise day‑to‑day accounting transactions and general ledger.
Taxation and Compliance:
- Ensure compliance with Direct and Indirect Tax regulations, including GST and Income Tax.
- Filing of statutory returns, including TDS, GST, PF, ESI, and other regulatory filings.
- Liaise with government authorities and external auditors to ensure compliance with all statutory requirements.
Cost Management:
- Monitor company costs and suggest cost‑reduction strategies.
- Oversee the costing and pricing of products/services.
Treasury and Cash Flow Management:
- Manage cash flow planning and ensure the availability of funds as needed.
Seniority level
Mid‑Senior level
Employment type
Full‑time
Job function
Accounting/Auditing
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