Job Views:  
554
Applications:  253
Recruiter Actions:  1

Job Code

1448495

Who are we?

- We started with an idea.

- An idea to revolutionize the way we consume energy and transform the urban cityscape.

- To make that idea a reality, we leveraged cutting-edge technology and top talents in the market.

- Now in 2020, we are growing faster than ever, bringing onboard new ideas, new faces, and new dreams.

- We are more than just a smart scooter company, more than just an energy network company.

- We are a game changer for vehicle design.

- We are a trendsetter for software advancements.

- We are an industry leader in modern transport solutions.

- We are Gogoro.

FIND OUT MORE.

https://www.gogoro.com/about/.

Role Responsibilities :

- Oversee Financial Operations: Supervise all financial tasks and operations, including accounts payable, accounts receivable, asset accounting, month-end and year-end closing, tax, and banking.

- Accounts Receivable and Payable Management: Handle the AR function and AP/expense management processes, ensuring end-to-end efficiency and accuracy.

- Troubleshooting and Problem-Solving: Research and resolve complex financial questions and unusual cases, responding effectively to escalated issues and volatile situations.

- Quality Assurance and Policy Execution: Implement quality assurance processes accurately and contribute to the execution of finance policies.

- Financial Reporting: Ensure timely and accurate financial information from the point of transaction through financial close to external reporting.

- Cross-Functional Assignments: Participate in regional or global service center assignments that impact internal and external reporting, accounting, and processes across various business lines, legal entities, and geographies.

- Accounting Workflow Setup: Follow HQ's accounting guidelines to establish end-to-end accounting workflows and processes for new entities in India.

- Fixed Asset Management: Act as the key liaison for construction costs and fixed asset management, day-to-day controllership, analysis, planning processes, and external financial audits.

- Local Accounting Strategy: Partner with business leaders to develop local accounting strategies and practices that support legal and business requirements.

- Export and Import Control: Manage export and import controls, including customs declarations, bills of lading, and other shipping documents.

- Financial Analysis and Insights: Provide objective and analytical insights on the financial impact and soundness of business decisions to the leadership team.

- Team Leadership: Lead and manage the finance team to ensure timely and accurate monthly, quarterly, and yearly account closing procedures.

- Financial Analysis and Reporting: Provide high-level financial analysis and reporting to support decision-making processes.

- Finalization and Consolidation: Prepare quarterly and annual finalization and consolidation of accounts.

- Financial Strategy Development: Develop and implement financial strategies, plans, and policies to drive business growth and profitability.

Qualifications:

- Chartered Accountant (CA) with a minimum of 10 to 15 years of experience in accounts and Finance roles (Preferably from the manufacturing Industry).

- Experience with GST Regulations and taxation.

- Very good experience in MS Office applications and SAP Finance & Controlling Module.

- Proficiency in accounting, taxation, financial planning, financial statements, and financial reporting.

- Strong analytical skills to analyze financial data and provide insights.

- Experience in managing financial operations and working with cross-functional teams.

- Excellent communication and presentation skills.

- Stakeholder management and ability to work with different teams.

- Experience working with global teams is a plus.

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Job Views:  
554
Applications:  253
Recruiter Actions:  1

Job Code

1448495

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