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Job Location | Mumbai City |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Banking / Financial Services |
Functional Area | Sales / BD,Finance / Accounts / Tax |
EmploymentType | Full-time |
Job Title: Head Of FinanceYears Of Experience: 5 years Qualification: CALocation: MumbaiBrief About The Role:- The role holder will supervise all financial tasks of our company and ensure we use capital and resources beneficially.- Head of Finance responsibilities include creating forecasting models, assessing risk in investments, and ensuring all accounting activities comply with regulations. To be successful in this role, you should have experience crafting financial strategies and managing accounting teams.- Ultimately, you will maintain our companys financial health and increase profitability in the long run.- Proven work experience as a Finance department head in mid-sized companies- Experience in managing a group of companies will be an advantageRoles & Responsibilities:- Should be able to respond to financial data inquiries by gathering, analyzing, summarizing, and interpreting data- Ensure accuracy of accounting entries in tally along with monthly profit and loss, and balance sheet entries and reporting- He/ She should have handled 5 to 6 annual financial reconciliation cycles- Correspond with Auditor and get the Audit done of all Group Companies including resolution of Audit Queries and reponse to the Auditors- Should be able to prepare financial statements in accordance with Schedule - III of the companies Act, 2013- Ensure timely compliance of all Tax matter and reporting filing and returns- MIS through collecting and analyzing data, which is then used in the preparation of weekly and monthly estimates along with Ratio Analysis- Prepare Group Accounts and presentation to the management in respect of return on capital employed and discussion with management with a view to optimise- Budgeting and working out variance along with Actual financials on monthly basis- Preparing weekly cash flow statements, and controlling expenditure and cash flow- Responding to financial inquiries by gathering and interpreting data- Examining financial records to check for accuracy- Assisting with the monthly payroll cycle with accuracy and adhere to timelines- Conducting internal audits such as wage reviews- Assisting staff members on tax matters- Lead a team of executivesBehavioral Strengths- Leadership abilities- Good at multi-tasking- Working ahead of timeTechnical Strengths - In-depth understanding of cash flow management, bank reconciliation and bookkeeping- Hands-on experience with budgeting and risk management- Excellent knowledge of data analysis and forecasting models- Proficiency in accounting software- Good communication skills, both verbal and written- Solid analytical and decision-making skills- Problem-solving,
Keyskills :
cash flowdata analysisrenewable energycompanies actproblem solvingfinancial datacash flow managementbalance sheetgroup accountsinternal auditcash flow statementsfamily office