Manager- Finance & Accounts

Paschim Hydro Energy

Hyderabad

On-site

INR 900,000 - 1,500,000

Full time

14 days+
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Job summary

Paschim Hydro Energy is seeking a Chartered Accountant to independently manage financials, tax compliance, and financial reporting. The role involves banking & project finance exposure, treasury management, and robust financial modeling using Excel.

The candidate will oversee preparation of financial statements, ensure internal controls, and optimize working capital while communicating findings clearly to management.

Qualifications

  • CA qualification is mandatory.
  • Ability to work independently with minimal supervision.
  • Exposure in Banking & Project Finance is preferred.
  • Proficiency in GST, VAT, TDS, TCS compliance is required.
  • Experience in Treasury Management and Financial Statements preparation.
  • Strong analytical, drafting and presentation skills.
  • Proficient in Excel and PowerPoint.

Responsibilities

  • Prepare financials as per Indian accounting standards.
  • Maintain filing and record-keeping of financial statements and documents.
  • Design and ensure internal control systems.
  • Handle indirect and direct tax filings.
  • Administer GST, VAT, TDS, TCS compliance.
  • Manage insurance and finalization of accounts.

Skills

CA
Independence
Banking & Project Finance
Financial Modeling
Treasury Management
Financial Statements
Analytical skills
Communication skills
Excel & PPT
English & local language

Education

Chartered Accountant (CA)

Tools

Excel
PowerPoint
Financial Modeling

Job description

Only Chartered Accountant (CA) may apply

Key Responsibilities:

  • Preparation of companys financials as per requirement of Indian accounting standards
  • Maintains an accurate filing and record keeping system for all financial statements and company documents.
  • Designing and ensuring operation of internal control systems
  • Handling independently indirect tax & direct tax statutory filing returns
  • Administer GST, VAT, TDS, TCS compliance
  • Insurance Management
  • Finalization of Accounts, Preparation of Quarterly / Half Yearly/ Annual Financial statements
  • Ensure timely closure of all Monthly / Quarterly / Yearly Activities.
  • Accurate and timely upkeep of financial records
  • Control cost and identifying opportunities for saving cost, managing cash flows to minimize finance cost & ensuring compliance to applicable tax laws.
  • Accounts payable and receivable functions.
  • Expert in arranging enhancement of working capital limits.
  • Monitors financial details to ensure legal compliance.
  • Analyzes revenue, expenses, cash flows, and balance sheets.
  • Assists management to make financial decisions.

Desired Profile:

  • CA (Only Chartered Accountants may apply)
  • Ability to work independently with minimal managerial supervision
  • Exposure in
  • Banking & Project Finance,
  • CMA Data
  • Accounting & Taxation (GST , VAT, TDS, TCS compliance)
  • Proficiency in Financial Modeling (Excel with Formulas)
  • Experience in Treasury Management
  • Should be well versed in Preparation of Financial Statements like Balance Sheet, P&L and Cash flows
  • Should have good Analytical, drafting, Communication and presentation skills.
  • Should have good knowledge in computer operations including Excel, PPT etc
  • Well versed with English & local language.
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