Posted By
Posted in
Banking & Finance
Job Code
1296679
Manager- Accounts
Position: Manager Accounts
Age: 35 to 45 years
Location : Mumbai
Education : Inter CA /CA + Legal Preferred
Experience: 10-15 years in Accounts
(Working experience in family office preferred)
Principal Accountabilities:
- Accounts & Payroll
- Taxes & Statutory work
- Banking & Finance
- Staff Related work
- MIS & Other Reporting
- Investment Support Service
- Compliance
- NRI related matters
- Charity related matters
Duties and Responsibilities:
- Checking bills/vouchers -Cheques and Cash, for proper accounting in Tally on daily basis.
- Ensure approval of all Cash & Cheque payments of the entire group.
- Signing of cheques of entities where POA / Mandate is registered & ensure timely payments to parties.
- Ensure proper bank balances are maintained in all accounts (surplus should be invested.)
- Accounting of Journal entries as and when applicable/ during Audit & Finalization.
- To verify bank reconciliation (of Bank Accounts excl DLW & PC) on Quarterly basis, & check bank balances on regular basis.
- Drafting letter, application forms & Co-ordination for opening/closing of Bank account (NRE/NRO/NRE-PIS/NRO-PIS/CA/SB), Demat account, PMS accounts, etc.
- Verification of various documents, Draft Agreements, etc. (e.g. Information Service Fees, Debit notes , C.U. Partnership Deed, Rental agreement, Etc.)
- Managing Bank & Investment Accounts of PC in Tally & Updating in excel as and when required.
- Extending support activity to Director Finance for D.L.W exps, Investment activities & other banking requirements.
- Ensuring timely salaries to office staff /drivers/maids at the month-end. Providing staff monthly salary slips (if reqd), verifying & providing TDS certificates at the year end.
- Co-ordinate and getting Tally customized as per Companies requirement as and when reqd. .
- Maintenance of Fixed Assets Register in Tally (as per New Companies Act 2013) & also in Excel.
- Preparation of audit working papers, supporting, schedules, etc and finalization of accounts.
- Timely filing of returns of Company's and individual accounts like Income Tax, E-TDS, RBI, Companies Act, etc.
- Review of quarterly TDS data for e-filing of Company's and individual accounts prepared by the CA, before the same are filed with the statutory authorities.
- Preparation of draft Minutes of Companies for outside submission and for record maintenance.
- Co-ordinating with the Company Secretary for quarterly minutes updation, E-filing of Annual Accounts/Returns/other returns of the Company & ROC compliances.
- Statutory work related to Income-Tax, Company Law Matters, Wealth Tax, RBI, FEMA, NRI matters, etc.
- Computation of Advance Taxes quarterly Companies.
- Preparation of paper work for Scrutiny Assessments- Income Tax, Wealth Tax, P.F., Profession Tax , Reply to notices- MLWF, etc.
- Timely compilation of statutory obligations, monthly payments of Taxes, P.F, Prof Tax, etc & its filing with the relevant authorities.
- To draft letters/fill forms and provide details to CA / CS / RBI for allotments/transfer/conversion of Compulsory convertible debentures (CCD's), Conversion of Pvt Ltd to LLP, trsf of exiting Equity Shares of Co, etc.
- Co-ordinate with Consultants/Auditors/Management to assess whether new laws (like GST) are applicable to our entities & its registration if reqd.
- Timely renewals of Lockers, DSC, subscriptions, AMC's, club memberships, etc.
- To interface regularly with the Bankers, Auditors and Consultants. (C.A., C.S, Lawyers, PF Consultants)
- Submission of timely filing of returns through Authorized Dealers, Bankers, RBI, etc. (FORM FC-GPR / NRI Matters).
- To comply for KYC, FATCA declarations, address change, etc. with bank, brokers, RBI, etc.
- Providing details to HR to prepare Salary Register as per Shop & Est, providing Monthly Salary Slips (if reqd), Etc.
- Computation of Total Income, Taxes etc of employees and documentation of declarations, Investments, etc.
- Working on Salary break-up based on revised salary structures, tax documents provided by employees, F & F on termination/ resignation.
- Compilation & Verification of Quarterly MIS cash flow, statement of Dividends received, Assets Verifications, Statutory compliance report, yearly/ half yearly Budgets, preparing of Actuals v/s Budget, etc.
- Compilation of personal drawings, charities, investments, etc in the desired formats to management as and when required.
- Providing quarterly statutory compliance Sheet to the reporting Head.
- Providing details for Trade Name-Caring Capitalism as and when reqd.
- Ensuring timely investments related to Purchase / Switch / Redemption of Shares, Mutual funds, Fixed Deposits, FCNR Deposits, Forward contracts, etc. (Demat slips, MF forms/slips, Cheques,/contracts, Etc.)
- Compilation of Monthly Investment sheet - Purchase, Switch, Sell, of Shares, Mutual Funds, FCNR Deposits, Fixed Deposits and updating month-end NAV, Exchange Rate, Market price, Dividends etc.
- Coordinating with the Brokers, Distributors, PMS and their back office regarding Investment, payments, Statements, Forms, Ledgers, Reconciliations, etc
- Ensuring timely transfer of funds from one bank to another for investments.
- After the sale proceeds of MF/PMS/Shares to ensure timely outward remittance is done. (Form A2/Remittance letter/Outward Remit Form)
- Ensure timely & correct Filling of Demat Slips/Application Forms/Chqs/ and Updating it in Tally
- Verifying after Investments is done - With Demat Statements & MF Stmts.
- Updating Funds Deployed Sheet (excel) for every investment transaction done (From Contracts/Statements), Buy, Sell, Switch, Redemption, FCNR, Forward Contracts, etc.
- Verifying Capital Gains Working for Tax (In excel + Tally) (LT/ST/Indexation).
- Verifying funds deployed sheet with Bloomberg data with Research Team regularly.
- PMS Investments (Documentation/ Updation / Statements) (CCPL/BJC)
- O/D for Investments (Documentation/ Updation/Statements) (CCPL)
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Posted By
Posted in
Banking & Finance
Job Code
1296679