Posted By
Posted in
Banking & Finance
Job Code
341486
CA/ICWAI/ACS with 8 to 15 years in Real Estate Companies
ACCOUNTS CONSOLIDATION
- Maintenance of Accounts at HO-monitoring and scrutiny of accounts of Head Office, HO reconciliation and related matters
- Coordinating for finalization of accounts of the company and group companies
- Preparation of notes to accounts
- Consolidation of accounts and related matters
- Providing financial data and obtaining necessary audit certifications for tendering of projects.
- Organizing due diligence requirements to all investors / lenders.
- To prepare MIS reports including profitability, cash flow on a quarterly basis
- To prepare balance sheet on a quarterly basis
- Coordinating with the HO accounts team in consolidation of accounts vertical wise and company as a whole
- Assist in preparation of monthly / quarterly financial statements for the company as a whole
- Coordinating with statutory audit team for finalization of accounts in an orderly and timely manner
- To coordinate in the finalization of all joint venture Accounts
- Responsible for accounts payable for all the purchases made at Head Office
- Verification and payment of the bills received from vendors and suppliers
- Verification of travel expense bills submitted by the HO staff and ensure timely reimbursement wherever applicable)
- Ensure salary advances are given to employees only after verification of the previous repayment and also based on eligibility as applicable according to the company policy
- Ensure all deductions are made as applicable for all the employees 18. Verification of salary statements received from HR
Fund Raising:
Finance function - Interface with Banks & other institutions.
- The role will be to work on the entire cycle starting from preparing detailed cash flows & proposal document, applying to such institutions & subsequent interface with officials in assisting for appraisal & documentation & disbursement of such facilities.
- Fund raising through bank/PE, NBFC & etc.
- Raising Funds and deals with bankers for raising funds for current and future projects. Support to top management in achieving the better top line, valuation & profitability
- Coordination with concerned officials for both external & internal as and when required
- To provide various Management Information Systems (reports and statements) and any other inputs are to be submitted on a weekly / fortnightly / monthly basis to the Management as per the requirement.
- Debt servicing, monitoring reports, of the fund raised through bank/PE, NBFC etc.
- All banking and liaison activities.
- Organizing due diligence requirements to all investors / lenders
- Compliance of terms and conditions of all sanctions of the lenders / investors.
- To provide the financial statements to BD teams / Auditors / Senior Management
- MIS Reporting - structured periodic reports- Project wise costing & profitability & one-off or situational reports for higher management decisions & policies.
SUBSIDIARY ACCOUNTS:
- Maintenance subsidiaries books of account
- Finalization of subsidiary accounts
- Ensure timely payment of remittance and filing of all statutory returns (TDS/Service Tax/Sales Tax/VAT) in coordination with tax department
- Attending to auditors queries
- Preparation of annual budget for subsidiaries
- Monthly review of budget vs. actual
- Request for funds for the month and forward to finance department
- Ensure timely and accurate closure of all books of account INTERNAL HR - Training / development of the employees after analyzing the requirements of the department
- Carry-out performance appraisal of the sub-ordinates KEY RESULT AREAS - Consolidation of accounts in time
- Completion of statutory formalities on time
EDUCATIONAL QUALIFICATION: CA/ ICWA / ACS EXPECTED
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Posted By
Posted in
Banking & Finance
Job Code
341486