 Monthly Management Report (MIS) including Cash Flow, Annual budget process and periodic analysis of financial performance.
 Oversee the continuous improvement of Accounting and Financial Processes on new updates.
 Hands-on experience on preparing financial models, business projections and valuations.
 Petty Cash Management.
 Identification of areas for cost reductions and operational improvements.
 Working on new projects covering various financial aspects.
 Handle banking relationships and finding opportunities for improvement.
 Ensure the compliance/documentation requirement for all laws like Companies Act, Income Tax Act, GST.
 Handle complete end to end P2P process, responsible for vendor compliance and drive credit with vendors.
 Streamline inventory movement process, optimize inventory plans.
 Finalization of Books accounts.
Experience
2 - 4 Years
No. of Openings
2
Education
Graduate
Role
Accounts Executive
Gender
Male
Job Country
India
Type of Job
Full Time
Work Location Type
Work from Office