Associate - Financial Reporting - CFAB - Mumbai - Lower Parel - JM - *Mgr Bus Acc*

Associate - Financial Reporting - CFAB - Mumbai - Lower Parel - JM - *Mgr Bus Acc*

Tata Mutual Fund
Not Specified
Not Specified

Job Description

Job Description

Qualification: CA/MBA in finance
  • Financial Reporting:
    • Manage the profit and loss statements and cash and balance sheet to ensure the financial integrity.
    • Prepares and presents finance reports & metrics, communicating critical financial matters to leadership.
    • Coordinates the annual Statutory, Tax Audit, Transfer Pricing Audit
    • Having experience to manage reporting systems, ensuring regulatory compliance and tax requirement.
  • Audit and Compliance:
    • Work closely with internal and external auditors and work constructively towards addressing issues and gaps identified by auditors and pass the audits.
    • Responsible for tax compliances - Direct Taxes as well as Indirect Taxes, including Transfer Pricing.
    • Work closely on secretarial, legal, and other regulatory and SOX compliances.
    • Set the tone of a highly compliant organization and always follow the rules and regulations.
    • Exposure of Transfer Pricing / Customs/ DGFT/Export Documentation is desirable
  • Monthly Performance report
    • Responsible for Monthly Performance report to be shared with Stake holders considering timelines and accuracy
    • Maintain a tight control environment and set up Standard Operating Procedures for the team to follow.
    • Maintain tight controls activities according to financial plan to achieve profitability and revenue.
    • Review the actual results against the budgeted goals to identify and correct accounting issues and variances.
    • Provide financial support and advice to management in closing business deals.
  • Banking & Treasury
    • Manage day to day banking activity and Payment approvals.
    • Co-ordination for Banking of Sanctioned transactions
    • Co-ordination for Bank Reconciliation
    • Prepare & manage Cash Flow & Fund Flow
    • Manage account Receivable & Liaise with Sales team on DSO Management.
    • Manage Commission payment for overseas office
    • Manage Credit notes & report on monthly basis to management.
    • Keep track of ECB transactions / return filing

Job Details

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