JOB TITLE: Manager - Treasury, Banking, Taxation
POSITION SUMMARY: To assess, monitor, plan and manage the efficient utilization of cash and financial services in a manner consistent with the objectives of the company including proper wealth . Delivering a full range of tax services in compliance with laws and regulations within timeframe. Building relationships and interacting with clients to provide excellent planning, consulting and expertise.
JOB DUTIES:
- Maintain the cordial relationship with the banks and involve in working capital and money management
- Ensure that the business has the liquid funds it needs and invest surplus funds.
- Should have thorough knowledge of funding requirements of the organization, sources of finance available and the cost of those sources and the risk attached to it.
- Provide the business with forecasts of exchange rate movements, exposure to currency risk and interest rate risk.
- Adopt appropriate strategies for foreign exchange risk management and comply with FEMA/RBI rules and regulations for movement of funds.
- Effectively advise on policies such as international transfer pricing, international tax policies and its impact on firm.
- Proper knowledge of Direct and Indirect Tax.
- Facilitate and manage the preparation and review company tax returns and the accurate, timely filing of all tax forms.
- Ensure accurate, timely filing of consolidated all income tax returns and other business related filings.
- Develop and implement strategic tax planning.
- Maintain effective control procedures over all aspects of the tax process.
- Monitor legislative and regulatory tax law developments, communicate the effects of these developments to management and the tax team and create strategies to capitalize on changes to taxation legislation.
- Provide support with various internal audits and special tax related projects.
- Review tax returns and quarterly/yearly tax projections.
- Manage and mentor members of tax team to greater levels of effectiveness and engagement.
- Ensure proper wealth management.
ESSENTIAL QUALIFICATION:
CA/ICWA
WORK EXPERIENCE:
- 6+ years of working experience in Treasury,Taxation & Banking. In addition, knowledge of Accounting Standards Knowledge of working on SAP and its processes is desired.
PREFERRED INDUSTRY BACKGROUND: None
SALARY : As per Industry norms
LOCAL MUMBAI CANDIDATES ONLY
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