Maintain and manage company’s financial records.
Prepare financial statements such as balance sheets, profit & loss accounts, and cash flow statements.
Ensure compliance with applicable accounting standards (IND AS, IFRS, etc.).
Conduct internal and external audits.
Evaluate financial processes for accuracy and integrity.
Ensure compliance with tax laws and internal policies.
Prepare and file direct and indirect tax returns (Income Tax, GST, etc.).
Advise on tax planning and strategies to optimize tax liabilities.
Handle tax assessments, audits, and litigation support.
Prepare annual budgets and monthly/quarterly forecasts.
Analyze variances between actual and budgeted financials.
Recommend cost control measures.
Analyze financial data to identify trends, variances, and risks.
Provide insights to management for strategic decision-making.
Perform profitability analysis for products, projects, and business segments.
Ensure compliance with government regulations, corporate laws, and statutory requirements.
Stay updated with changes in laws and policies affecting the business.
Identify and assess financial and operational risks.
Implement internal control systems to mitigate risks.
Assist in raising capital through equity, debt, or other instruments.
Conduct due diligence and valuation during mergers/acquisitions.
Manage payroll processing and ensure statutory deductions (PF, ESIC, TDS).
Ensure timely payment and reporting.
Coordinate with banks, financial institutions, tax authorities, auditors, and regulatory bodies.
Rera
Proper handle to team
"For the right candidate, budget is not a constraint."