• Job description
• The role of a Finance and Accounts Manager
• •responsibilities associated with this role: •
• Financial Planning and Analysis (FP&A): Developing financial plans, budgets, and forecasts to guide the business in achieving its objectives. This includes analyzing financial data, identifying trends, and providing insights to support decision-making.
• Profitability Analysis: Assessing the profitability of products, services, and projects to optimize revenue generation and cost efficiency. This may involve conducting cost-benefit analyses and evaluating pricing strategies.
• Financial Reporting: Preparing financial reports and statements in compliance with accounting standards and regulations. This includes income statements, balance sheets, cash flow statements, and other financial disclosures.
• Risk Management: Identifying and managing financial risks that could impact the organization's performance. This may involve assessing market risks, credit risks, and operational risks, and implementing strategies to mitigate them.
• Cash Flow Management: Monitoring cash flow and liquidity to ensure the business has sufficient funds to meet its obligations and pursue growth opportunities. This includes managing accounts receivable, accounts payable, and working capital.
• Budgeting and Cost Control: Developing budgets and cost control measures to manage expenses and optimize resource allocation. This involves monitoring variances between budgeted and actual expenses and implementing corrective actions as needed.
• Financial Strategy Development: Collaborating with senior management to develop long-term financial strategies aligned with the company's goals and objectives. This may involve evaluating investment opportunities, capital structure optimization, and mergers and acquisitions.
• Stakeholder Communication: Communicating financial performance, strategies, and insights to internal stakeholders such as senior management, department heads, and external stakeholders such as investors, creditors, and regulatory authorities.
• GST Compliance and Audit: Ensuring compliance with financial regulations, accounting standards, and internal controls. This includes coordinating audits, implementing audit recommendations, and maintaining accurate financial records.
• TDS Compliance
• Team Management: Leading and developing a team of finance professionals responsible for various finance and accounting functions. This involves providing guidance, coaching, and performance feedback to foster a high-performing team.
• Industry- Real-Estate
• Location - Lake Town
• Office time - 10 am to 7:30 pm
• Leave - 15 days Paid leave
Job Type: Full-time
Pay: ?40,000.00 - ?45,000.00 per month
Schedule:
• Day shift
Application Question(s):
• Do you have experience in real-estate industry ?
• What is your present CTC and notice period ?
Education:
• Bachelor's (Preferred)
Work Location: In person
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