Must Have Requirements:
• Hands on experience with Tally
• 2-3 years of relevant experience across corporate finance and business finance.
• Fluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)
Roles & Responsibilities:
• Preparing MIS and other reports on financial performance, viz. monthly profitability, cash flow statements, turnover & quarterly result.
• Advanced analytical skills and the ability to get into the details, while also seeing and understanding the big picture.
• Ensuring timely and accurate reporting of financial information required by Management for the review of Company performance.
• Ensuring that timely payments are made to / received from creditors / debtors.
• Preparing periodical cash flow statements
• Formulating budgets and conducting ratio/ ageing/ variance analysis to determine difference between projected & actual results and implementing corrective actions.
• Analyzing reports and highlighting or flagging off unusual numbers or trends, which are likely to have significant impact on management decisions
• Coordinating with internal stakeholders and raise invoices on time to ensure healthy cashflow
• Coordination and Liaising with Statutory Auditors.