Posted By
Posted in
Banking & Finance
Job Code
1081055
Manager (Accounts)
Interface and coordination with
Central Finance Team
Position Summary - To ensure the proper preparation of Financial Statements on quarterly basis and related financial reporting of the Trust.
Role & Responsibilities:
- Preparation of Financials (Balance Sheet, P&L, Cash Flow etc.) as per new Ind-AS
- AR / Debtor's listing, aging, collections, and reconciliation.
- Bank Reconciliations, Creditors Bill booking & payments.
- Knowledge of GST, VAT, TDS, Income Tax, TDS / WCT certificate collections experience
- Working knowledge of Companies Act and Ledger scrutiny
- Auditors' co-ordination (Must be able to get the Audit done independently)
- Addressing Internal Audit queries and their replies.
- Cash Flow Analysis
- Business Projections
- Coordination with Mall team for audit related matters.
- Fixed Assets Management
- Income Tax Assessment proceedings
- Knowledge of Costing principals (Standard costing, CAM costing etc.)
- Knowledge of Budget preparations, Variance analysis etc.
- Knowledge on Insurance
- Knowledge on Property & Share Valuations.
- Basic Knowledge on REIT.
Qualifications & experience:
- CA Qualified. Preferences will be given to the ones who have completed articleship from reputed firms.
- 2 Plus years' experience of working in Trust/Society establishments.
Personal Traits & Competencies :
- Should have good customer orientation and presentation skills for day-to-day interaction with tenants/clients.
- Proactiveness
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Posted By
Posted in
Banking & Finance
Job Code
1081055