Posted By

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Akhilesh Bali

HR at Limetray

Last Login: 26 September 2024

Job Views:  
439
Applications:  117
Recruiter Actions:  22

Job Code

1430851

Role Overview:


- As the Manager, of Finance & Accounting, you will play a pivotal role in managing the financial operations of our startup.

- You will be responsible for overseeing cash flow management, working capital MIS, SOP implementation, external audit coordination, and statutory compliance management.

- The ideal candidate will have a strong background in finance and accounting, with a focus on operational excellence and compliance.

Position: Finance Manager

Qualifications: Qualified Chartered Accountant (CA)

Experience: 3 - 5 years of Corporate Experience

CTC Bracket: 11 - 12 LPA

Skills: Finance & Accounting, Taxation (GST, Income Tax, TDS) Internal Audit, MIS, and corporate finance competence.

Key Responsibilities:

Cash Flow Management:

- Develop and maintain cash flow forecasts to ensure optimal liquidity management.

- Monitor cash inflows and outflows, identifying potential risks and opportunities.

- Collection of client's payments for our enterprise segment.

- To prepare and present, quarterly and annual reports to the founder.

- Implement strategies to optimize cash flow efficiency and working capital utilization.

- Working Capital MIS.

- Design and implement MIS reports to track working capital metrics, including receivables, payables, and inventory.

- Analyze working capital trends and variances, providing insights to support decision-making.

- Develop actionable recommendations to improve working capital performance.

- SOP Implementation.

- Develop and implement standard operating procedures (SOPs) for finance and accounting processes.

- Streamline workflows and enhance efficiency through the adoption of best practices.

- Ensure compliance with SOPs across the organization and provide training as needed.

- External Audit Management & Coordination.

- Serve as the primary point of contact for external auditors during financial audits.

- Coordinate audit preparations, including the gathering of financial data and documentation.

- Address audit queries and ensure timely resolution of issues raised by auditors.

- Statutory Compliance Management.

- Stay updated on relevant laws, regulations, and accounting standards applicable to the business.

- Ensure compliance with statutory requirements related to taxation, reporting, and corporate governance.

- Implement processes to monitor and report on compliance status, mitigating potential risks.

Experience & Skills Required:

- Minimum 1-2 years of relevant post-qualification experience in finance and accounting roles, preferably in a startup environment.

- Strong knowledge of cash flow management, working capital optimization, and financial analysis.

- Experience in setting up SOPs and driving process improvements.

- Proven track record in managing external audits and ensuring compliance with statutory requirements.

- Excellent communication and interpersonal skills, with the ability to collaborate effectively across teams.

- Detail-oriented with strong analytical skills and problem-solving abilities.

- Proficiency in accounting software and MS Office suite.=

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Posted By

user_img

Akhilesh Bali

HR at Limetray

Last Login: 26 September 2024

Job Views:  
439
Applications:  117
Recruiter Actions:  22

Job Code

1430851

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