SITE FINANCES CONTROLLING MANAGER -

OPmobility

Maharashtra

On-site

INR 1,800,000 - 3,000,000

Full time

14 days+
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Job summary

OPmobility in Bhamboli, Pune, seeks a senior finance leader with 8-12 years post-qualification experience to oversee all finance functions. The role covers planning, accounting, working capital, tax compliance, audits and financial reporting, driving cost savings and productivity improvements.

Responsibilities include consolidating accounts, regulatory reporting, cash flow analysis and interaction with banks and investors.

Qualifications

  • 8-12 years post-qualification experience in finance leadership
  • Strong knowledge of taxation, audits and regulatory compliance
  • Excellent communication, analysis and problem-solving skills

Responsibilities

  • Spearheading all aspects of Finance including financial planning & analysis, accounting, working capital management, budgetary control, taxation, audits, financial reporting and due diligence
  • Financial planning & analysis, internal/regulatory reporting, accounting, receivables & payables, close of books and consolidation for Balance Sheet and P&L
  • Extensive knowledge of accounting controls, standards and statutory compliances
  • Understanding of laws and regulations pertaining to financial management, operations, audit and compliance
  • Maintain MIS/recordkeeping system; review and enhance financial procedures, inventory and cost controls
  • Manage tax audits, liaise with external providers, submissions and hearings
  • Monitor day-to-day accounting, GL maintenance, and timely financial statements
  • Compute and file Income Tax, Advance Tax, MAT, Deferred Tax, GST returns; manage refunds
  • Strong communication, analytical, troubleshooting and organizational skills
  • Lead discussions with banks, negotiate working capital funds, engage investors on due diligence and credit ratings
  • Analyze cash flow, forecast needs and guide financing decisions
  • Oversee Group Internal Audits and assist in budgets, forecasts and strategic plans
  • Maintain fixed assets records; site-wise capitalization and asset insurance
  • Plan and execute monthly/quarterly/annual closing; provide monthly statements
  • Oversee annual budgets, monthly forecasts and strategic plans with Finance Controller

Job description

Job Description
Main Responsibilities
  • Spearheading all aspects of Finance including financial planning & analysis, accounting, working capital management, budgetary control, taxation, audits, financial reporting and due diligence
  • Financial planning & analysis, internal / regulatory reporting, accounting, receivables & payables, finalization / consolidation of accounts (Balance Sheet / P&L), budgeting & forecasting - leading to long-term improvements in cost saving, profitability & productivity.
  • Extensive knowledge of accounting/ internal control systems, standards & statutory compliances
  • Comprehensive understanding of laws and statutory regulations pertaining to financial management, operations, audit and compliance
  • Established & maintained an efficient recordkeeping / MIS System; assessed the prevailing corporate environments by reviewing and enhancing all financial procedures and inventory & cost controls.
  • Managed all tax audits including developing audit strategy, collation of information/analyses, working with external service providers for inputs, reviewing submissions, attending all tax hearings, communicating and coordinating with wider tax group stakeholders.
  • Monitoring day-to-day accounting, general ledger maintenance, develop and maintain timely and accurate financial statements and reports.
  • Managing the Computation and filing of Income Tax , Advance Tax, MAT, Deferred Tax, GST Returns, refunds, filing amnesty schemes for Income tax/VAT/GST
  • Strong communication, analytical, troubleshooting, problem solving & organizational skills.
  • Leading discussions with various banks, negotiations and arranging of working capital funds, interaction with Investors on due diligence, credit rating, bank guarantees.
  • Analyzing cash flow, forecast cash requirements and execute financing decisions.
  • Supervised the Group Internal Audits and worked with the Finance Controller in the preparation of annual budgets, monthly forecasts, and strategic plans.
  • Maintained fixed assets; handled site wise capitalization, undertook physical verification of assets and ensured that all assets were insured at the correct value.
  • Planned and executed monthly / quarterly / annual closure schedules; provided monthly financial statements; administered the monthly closing process.
  • Supervised the Group Internal Audits and worked with the Finance Controller in the preparation of annual budgets, monthly forecasts, and strategic plans.

Location: Bhamboli, Pune. Experience: 8-12 Yrs (Post qualification).

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