Manager Accounts & Finance-Chennai

The Banyan HR Consults Chennai

Chennai District

On-site

INR 800,000 - 1,200,000

Full time

14 days+
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Job summary

A consulting firm in Chennai is seeking a Mid-Senior level Financial Manager to prepare financial statements and oversee audits. This full-time role involves ensuring compliance with tax regulations, managing accounts, and developing financial models for informed decision-making. Ideal candidates will demonstrate strong expertise in financial reporting and cost management while ensuring timely closure of accounts. Join a dynamic environment and enhance your career in financial oversight.

Qualifications

  • Experience in financial statement preparation and compliance with regulatory requirements.
  • Proven capability in managing accounts receivable and payable.
  • Knowledge of taxation laws and filing statutory returns.

Responsibilities

  • Prepare monthly, quarterly, and annual financial statements.
  • Oversee financial audits and ensure compliance.
  • Develop financial models for budgeting.

Skills

Financial statement preparation
Audit compliance
Financial modeling
Accounts management
Tax compliance
Cost management
Cash flow management

Job description

Direct message the job poster from The Banyan HR Consults Chennai

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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