Manager – Finance & Accounts Skillventory

The Corporate Institute

Mumbai

Vor Ort

INR 900.000 - 1.500.000

Vollzeit

Vor 10 Tagen
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Zusammenfassung

The Corporate Institute in Mumbai is seeking a seasoned Finance & Accounts professional to oversee the integrity of financial operations and manage the end-to-end accounting lifecycle, ensuring accurate reporting.

You will work with cross‑functional heads and senior leadership to drive month‑end close, bank reconciliations, GST/TDS filings, and corporate tax compliance, while strengthening internal controls in a fast‑growing environment.

Aufgaben

  • Daily Operations: Execute daily accounting activities, including accounts payable, timely payments processing, and bank reconciliations.
  • GL Management: Maintain accountability for the General Ledger (GL), ensuring accurate data entry, regular reviews, clean reconciliations and preparation of monthly financial statements.
  • Financial Reporting: Drive the month-end closing process and prepare monthly provisions and accruals.
  • Banking & Treasury: Manage routine banking operations, monitor daily liquidity, and handle treasury accounting activities.
  • Manage the full-cycle accounting process, including general ledger maintenance and month-end closing, to ensure timely and accurate financial reporting for stakeholders.
  • Oversee statutory compliance, including GST, TDS, and corporate tax filings, to mitigate financial risk and ensure adherence to regulatory standards.

Jobbeschreibung

Role Overview :

We are seeking a seasoned Finance & Accounts professional to join our Mumbai-based team to oversee the integrity of our financial operations. In this role, you will manage the end-to-end accounting lifecycle, ensuring that our financial reporting is accurate, compliant, and reflective of our business performance. You will work closely with cross-functional department heads, internal auditors, and senior leadership to provide actionable financial insights that drive strategic decision‑making. By maintaining robust internal controls and optimizing our accounting processes, you will play a pivotal role in safeguarding the company’s assets and supporting our long‑term fiscal health in a fast‑paced, high‑growth environment.

Roles and Responsibilities:
  • Daily Operations: Execute daily accounting activities, including accounts payable, timely payments processing, and bank reconciliations.
  • GL Management: Maintain accountability for the General Ledger (GL), ensuring accurate data entry, regular reviews, clean reconciliations and preparation of monthly financial statements.
  • Financial Reporting: Drive the month-end closing process and prepare monthly provisions and accruals.
  • Banking & Treasury: Manage routine banking operations, monitor daily liquidity, and handle treasury accounting activities.
  • Manage the full-cycle accounting process, including general ledger maintenance and month-end closing, to ensure timely and accurate financial reporting for stakeholders.
  • Oversee statutory compliance, including GST, TDS, and corporate tax filings, to mitigate financial risk and ensure adherence to regulatory standards.
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