Key Responsibilities
Financial Accounting & Reporting
Manage day-to-day accounting operations and general ledger activities.
Prepare monthly, quarterly, and annual financial statements.
Ensure accuracy and completeness of financial records.
Conduct account reconciliations and resolve discrepancies.
Monitor cash flow and maintain financial controls.
Accounts Payable & Receivable
Oversee vendor payments and customer collections.
Ensure timely invoicing and payment processing.
Monitor outstanding receivables and follow up on collections.
Manage aging reports and cash management activities.
Compliance & Taxation
Ensure compliance with accounting standards, tax regulations, and statutory requirements.
Prepare and review GST/VAT, TDS, income tax, and other regulatory filings.
Coordinate with auditors, tax consultants, and regulatory authorities.
Maintain documentation for audits and inspections.
Budgeting & Financial Analysis
Assist in annual budgeting and forecasting processes.
Analyze financial performance and prepare management reports.
Identify cost-saving opportunities and recommend process improvements.
Support strategic financial planning initiatives.
Team Management
Lead and supervise the accounts team.
Allocate work, monitor performance, and provide guidance.
Develop and implement accounting policies and procedures.
Train team members on accounting systems and compliance requirements.
Internal Controls & Risk Management
Establish and maintain effective internal control systems.
Ensure adherence to company policies and financial procedures.
Identify financial risks and recommend corrective actions.
Qualifications & Experience
Bachelor's degree in Accounting, Finance, Commerce, or related field.
CA, CPA, CMA, ACCA, or equivalent qualification preferred.
5–10 years of experience in accounting and finance, with at least 2–3 years in a supervisory role.
Strong knowledge of accounting principles, taxation, and financial reporting.
Experience with ERP/accounting software (SAP, Oracle, Tally, QuickBooks, NetSuite, etc.).
Proficiency in Microsoft Excel and financial analysis tools.
Key Skills
Financial Reporting
General Ledger Management
Taxation & Compliance
Budgeting & Forecasting
Cash Flow Management
Audit Coordination
ERP Systems Knowledge
Analytical & Problem-Solving Skills
Leadership & Team Management
Communication & Stakeholder Management
KPIs / Performance Indicators
Timely and accurate financial reporting.
Compliance with statutory and tax requirements.
Reduction in outstanding receivables.
Accuracy of financial records and reconciliations.
Successful completion of audits with minimal observations.
Improvement in accounting process efficiency.