Manager / Senior Manager (Finance)

JobItUs

Ahmedabad District

On-site

INR 600,000 - 900,000

Full time

14 days+
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Job summary

JobItUs in Ahmedabad is seeking a Finance Analyst to manage monthly, quarterly, and yearly financial reporting. You will coordinate with auditors and departments for statutory audits, consolidate statements across units, and contribute to budgeting, variance analysis, and management reporting.

The role involves cost analysis, building financial models, CMA data preparation for bank limits, ICFR/RCM testing, and supporting IPO activities under the CFO.

Qualifications

  • Knowledge of IND AS and financial reporting standards.
  • Proficiency in advanced MS Excel and MS Office tools.
  • Familiarity with SAP/Oracle ERP systems is a plus.
  • Strong communication skills and quick learner mindset.

Responsibilities

  • Financial Reporting – Monthly, Quarterly & Yearly.
  • Coordinate with Auditors and departments for Statutory Audit.
  • Consolidation of Financial Statements across units.
  • Prepare Annual Budget and variance analysis.
  • Prepare Management Reports on daily, monthly, and need basis.
  • Costing and cost analysis of each work order and reporting.
  • Develop Financial Models for planning and forecasting.
  • Prepare CMA data for bank limits.
  • Prepare ICFR and Risk Control Matrix and perform testing.
  • Ensure accurate Fixed Asset Register and capex controls.
  • Support IPO preparation and CFO in related activities.
  • Handle exceptional reports and tasks as required by CFO and Management

Skills

IND AS
MS Excel
MS Office
Communication
Keen learner

Tools

SAP/Oracle ERP

Job description

Skills Required:
  • IND AS
  • Advanced MS Excel, MS Office
  • ERP – SAP/Oracle (Preferred, not mandatory)
  • Good communication skills
  • Keen observer and quick learner
Job Responsibilities:
  • Financial Reporting – Monthly, Quarterly & Yearly
  • Preparation and coordination with Auditors and all departments for Statutory Audit
  • Consolidation of Financial Statements
  • Preparation of Annual Budget and variance analysis of company and each unit
  • Preparation of Management Reports on daily, monthly, and need basis
  • Costing and cost analysis of each work order and reporting
  • Preparation of Financial Models
  • Preparation of CMA data for bank limits
  • Preparation of ICFR and Risk Control Matrix and periodic testing; ensure internal controls across processes
  • Ensure accurate Fixed Asset Register and control on Capital Expenditure
  • Preparation for IPO and assisting CFO in all pre & post IPO related activities
  • Handle exceptional reports and tasks as required by CFO and Management
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