• To control, supervise and assist the Corporate Accounts and Business Units including the associates undertaking of the company in preparation of monthly financials. • Fund management by monitoring day to day financial operations of the company and liaising with the banks for credit availability. Monitoring of cash floats, payments control/regulation, and investment of cash surplus. • Ensure that all stakeholders (management team, board of directors, auditors) receive accurate and timely financial management information. • Monthly review of general ledger accounts to ensure accurate capture of posted transactions. • Supervise the preparation of financials, cash forecasts, financial management reports. • Preparation of annual accounts for statutory audit following applicable accounting standards and generally accepted accounting principles. • Initiating, discussing and approving management decisions in liaison with management. • Provide relevant data to and from units for compiling and support in preparing and consolidating the units’ Annual Accounts & Budgets. • Tax planning for the company and preparation of Tax returns and documents for Tax assessment in consultation with the Tax advisor. • Deploying personnel on regular interval for physical count for safeguard of Company assets. • Monitoring of all expenditure and financial transactions in relation to approved budget and financial management guidelines/policy and inform management to take corrective action. • To perform such functions as may from time to time be required by Chief Financial Officer and/or management.
Chartered Accountancy qualified from reputed C. A. firm having good academic background with Hon’s & Masters (BBA/MBA) in Accounting/Finance from reputed university.
Must have minimum 7 years post qualification experience working as Manager and above positions of Finance and Accounts Department in systematic organization
Full-time