SI
Job Description
What you ll do:
Book closure:
- Reconcile various accounts, including bank statements, receivables, and payables, to ensure consistency.
- Prepare and input adjusting entries, such as accruals and depreciation, to align financial records with the true financial position.
- Compile financial statements, including the income statement, balance sheet, and cash flow statement.
- Pass intercompany entries as per TP policy.
Compliance and Reporting:
- Ensure compliance with accounting standards, tax regulations, and other financial requirements.
- Prepare and review financial statements, ensuring accuracy and transparency.
- Coordinate and oversee external audits and other audits across locations
Taxation:
- Manage and optimize tax planning and compliance, including income tax, GST, and other relevant taxes across locations.
- Stay updated on changes in tax laws and regulations to minimize financial risk.
Cash Flow Management:
- Monitor cash flow and liquidity, making recommendations for improvement.
- Manage working capital and treasury functions.
Team Leadership:
- Supervise and mentor finance team members, fostering their professional growth.
- Promote a culture of collaboration and efficiency within the finance department.
What you ll bring:
- CA with 3-5 years of experience
- Experience in Big4 / Fast paced SAAS startup is mandatory
- Exposure to Zoho is preferred
- Excellent Written and Communication skills
- Knowledge in Microsoft office