Regulatory Knowledge: Possess in-depth knowledge of TDS, GST, balance sheets, and all relevant filing requirements to ensure full compliance.
Financial Management: Oversee the preparation and accuracy of financial statements, balance sheets, profit & loss statements, and cash flow reports.
Budgeting & Forecasting: Develop, manage, and monitor budgets, providing variance analysis and strategic recommendations.
Tax & Compliance: Ensure compliance with all tax regulations, including TDS, GST, and other statutory filings. Coordinate with external auditors and tax advisors for audits and regulatory requirements.
Accounts payable/receivable: Supervise AR/AP processes, credit control, and vendor management to maintain smooth financial operations.
Reconciliations: Perform regular ledger and bank reconciliations, promptly resolving any discrepancies.
Policy & Process Improvement: Implement, review, and enhance accounting policies, internal controls, and financial systems to drive efficiency and accuracy.
Team Leadership: Manage, mentor, and develop the accounting team, fostering a high-performance and growth-oriented culture.
Stakeholder Collaboration: Collaborate closely with the finance head, department leads, and external partners to align financial strategies with business objectives.
Reporting & Analysis: Deliver timely, accurate financial analysis and insights to support decision-making and strategic planning.