Posted By
Posted in
Banking & Finance
Job Code
1419496
About the Job :
- Preparation of monthly and annual closings
- Create Income statement (P&L) and Balance sheet
- Overall responsibility for accounts payable
- Responsible for the month-end and year-end closings; - Control Cash flow
- Tax declaration, tax reporting, VAT (reversed VAT when applicable)
- Responsible for the preparation of the annual reports
- Communication with external auditors
- Continuous development of accounting processes, financial reporting, and finance systems
- Advising MD on company performance and long-term business and financial planning Improvement/coordination of work routines and processes.
Who we are :
Key Roles and Responsibilities:
- Gather and prepare data for various financial, compliance, internal, and external reports utilising existing tools
- Prepare cash flow statements, earning release calculations and all equity related disclosures
- Provide technical accounting analysis
- Conduct thorough research of historical financial data
- Compare anticipated and actual results and identify areas of improvement
- Maintain confidentiality of financial information and investment decisions
- Analyse financial information and reports to provide accurate financial recommendations to management
- Analyse trends and results and make recommendations based on observations
- Prepare and review complex financial and regulatory reports in addition to audited statements and support schedules
- Monitors, analyses, and interprets new, proposed and changes to financial reporting requirements to determine the impact to the company
- Draft and deliver disclosure, technical memos and other supporting financial documentation
- Prepare financial information for the quarterly audit committee and board meetings
- Drive finance process improvements initiatives to create efficiencies
- Identify opportunities to enhance, streamline, and automate reporting processes and research new ways to use tools to accomplish improvements
- Carry out audits on all financial statements and balance sheets for the company
- Prepare timely and error-free documentation that gives evidence of the company or company's financial standing
- Protect the integrity of the company reporting process by producing and maintaining correct and up-to-date financial statements and data
- Coordinate with various departments and monitor annual and quarterly deliverables for external auditors
- Analyse financial stats, data, and reports from various departments, and suggesting activities for future income of the company
Knowledge, skills and attributes:
- Knowledge of MS office is Must
- Knowledge of other software related to finance and accounting such as Tally, SAP, etc
- Ability to establish and maintain good working with stakeholders
- A high degree of accuracy and attention to detail
- Excellent planning and organisation skills
- Knowledge of accounting processes and procedures
- Excellent verbal and written communication skills
- Proven time management skills
- Ability to multitask and work independently
- Displays exceptional mathematical skills
- Ability to produce a high quality of work
- Demonstrate high ethics and adherence to company values
- Ability to prioritise and manage expectations
- Thorough knowledge of accounting principles and procedures
- Ability to analyse and interpret financial data
- Ability to present financial data using detailed reports and charts
- Demonstrable strategic thinking skills
- Demonstrated ability to work autonomously
Academic Qualifications and Certifications:
- CA or equivalent
- Relevant certifications
Experience required:
- Experience of 3- 5 years
- Experience as a Financial Reporting Analyst
- Experience participating in the creation of financial reports
- Hands-on experience with financial and statistical software
- Experience with methods of systems analysis, the principles, design and procedural methods used in forecasting and data analysis
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Posted By
Posted in
Banking & Finance
Job Code
1419496