Job Responsibilities:
Financial Accounting & Reporting
Maintain and oversee daily accounting operations, including accounts payable/receivable, general ledger, and bank reconciliations.
Prepare monthly, quarterly, and annual financial statements in compliance with accounting standards.
Monitor and manage cash flow and working capital requirements.
Export Documentation & Compliance
Coordinate with export department to ensure accurate and timely processing of commercial invoices, packing lists, and shipping documents.
Ensure adherence to export compliance regulations, including foreign exchange laws and customs requirements.
Handle documentation for ECGC, GST refunds, and Duty Drawback claims.
Inventory & Cost Management
Work closely with the production and inventory teams to manage stock valuation of raw materials, semi-finished, and finished jewelry items.
Analyze product costing and profitability across collections and export markets.
Taxation & Audits
Handle GST filings, TDS returns, and income tax compliance.
Assist in statutory audits, internal audits, and prepare required reports and reconciliations.
Liaise with external auditors and consultants for timely closure of accounts.
MIS & Budgeting
Prepare and analyze monthly MIS reports for management review.
Assist in budgeting, forecasting, and variance analysis to support strategic decision-making.
Banking & Finance
Manage banking transactions including export bill negotiations, foreign inward remittances (FIRC), and realization certificates.
Coordinate with banks for credit facilities, letter of credit (LC), and bank guarantees.
Team Coordination
Supervise junior accountants and ensure accuracy and timeliness of their work.
Provide guidance and training to improve team efficiency and compliance.