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Finance & Accounts Manager

6.00 to 11.00 Years   Gurugram   23 Jan, 2025
Job LocationGurugram
EducationNot Mentioned
SalaryNot Disclosed
IndustryIT Services & Consulting
Functional AreaFinance / Accounts / Tax
EmploymentTypeFull-time

Job Description

    Key Responsibilities:
    1. Accounts Payable Management:
      • Oversee and manage the accounts payable process, ensuring accurate and timely payments to vendors.
      • Monitor outstanding invoices and ensure proper reconciliation of accounts.
    2. Vendor Management:
      • Develop and maintain relationships with key vendors.
      • Resolve any discrepancies or issues related to vendor payments and contracts.
    3. Invoice Processing & Balance Payments:
      • Ensure proper processing of invoices and handle balance payments effectively.
      • Verify and reconcile payment details and ensure timely payments.
    4. TDS and GST Returns:
      • Prepare and file TDS (Tax Deducted at Source) and GST (Goods and Services Tax) returns.
      • Ensure compliance with tax regulations and assist in tax audits.
    5. Regulatory Compliances:
      • Ensure adherence to all relevant financial and regulatory compliances.
      • Work closely with external auditors to ensure compliance with statutory requirements.
    6. Income Tax:
      • Handle income tax matters, including tax assessments and compliance.
      • Assist in preparation of tax filings and manage tax-related queries.
    7. Payroll Management:
      • Oversee payroll processing for employees, ensuring accuracy in salary disbursements.
      • Ensure timely statutory deductions and compliance with labor laws.
    8. International Accounting:
      • Manage international accounting functions, ensuring proper accounting practices are followed across global entities.
      • Coordinate with international teams to ensure smooth financial operations and compliance.
    9. Financial Statements for Audit:
      • Prepare monthly, quarterly, and annual financial statements for internal and external audits.
      • Ensure timely and accurate presentation of financial data for audit purposes.
    10. Treasury Management:
      • Manage the companys treasury function, including cash flow forecasting and optimizing liquidity.
      • Monitor and manage financial risks, including foreign exchange risk.
    Required Qualifications & Skills:
    • Minimum of 5 years of experience in the finance domain.
    • Proven experience in managing accounts payable, payroll, vendor management, and taxation.
    • Strong knowledge of TDS, GST, income tax regulations, and statutory compliance.
    • Experience in international accounting practices and cross-border financial management.
    • Proficiency in accounting software and MS Office (Excel, Word, PowerPoint).
    • Strong analytical, organizational, and problem-solving skills.
    • Excellent communication and interpersonal skills to work with cross-functional teams.
    Education:
    • A degree in Finance, Accounting, or a related field (MBA, CA, or equivalent qualification is a plus).

Keyskills :
treasurycash flowfinanceyear end accounts

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