Qualified CAs only-
- Maintaining General Ledger to provide statutory and financial reporting
- Drive finalization of month-end related closing entries (Provisions/ Accruals/ Prepayments, etc.) and posting accounting entries in Smart Stream.
- Drive execution of weekly regulatory reporting (CMC)
- Preparation of weekly Bank reconciliation and initiating relevant entries in the smart stream in addition to initiating payments
- Balance sheet account reconciliations
- Production of monthly management reporting pack and relevant schedules to support finalisation of accounts
- Analysing financial trends, variance analysis, monthly performances vs. forecast
- Finalisation of Annual/statutory Financial Statements and provide audit reporting support
- Time management and delivery within challenging timescales
- Clear communication of business performance
- Maintain and work towards a culture of continuous improvement
- Strong relationship building with employees in Operating entities
- Month Close Support (Detailed Task List)
Salary offered: 10LPA
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