4

Cash Flow Statement Job Vacancies in Delhi NCR

Accounts & Finance Executive (5-10 Years)

Corporate Employment Services

  • 5 - 10 yrs
  • 5.0 Lac/Yr
  • Delhi
Budgeting Tools Cash Flow Analysis ERP Systems Forecasting Models GAAP Knowledge Payroll Systems QuickBooks Tax Compliance Auditing Data Analysis Excel SAP Cost Management Financial Reporting Financial Analysis Accounting Software Financial Statements TDS GST Tally ERP
Desired Candidate Profile: Accountant (B.Com. / CA Inter) with 05 + years of experience in manufacturing preferably steel (Tubes & Structure). Knowledge of Indian taxation, Companies Act, and applicable industry regulations. Proficiency in Advanced Excel, Busy and Tally. Analytical mind-set with good communication and team coordination skills.________________________________________Roles and Responsibilities: Manage direct and indirect tax compliance (GST, TDS, Income tax, etc.). Posting of Sale/ Purchase Bills.
View all details

Management Accountant

Jupiter Carpets & Flooring Pvt Ltd

  • 0 - 5 yrs
  • Jhandewalan Delhi
Income Tax Taxation TDS Busy Microsoft Excel Cash Flow Statement
Calculating taxes and submitting tax returns to comply with the law Auditing financial documents to ensure they are accurate and maintaining the confidentiality of the financial data Suggesting financial policies and procedures based on the overall financial status of the organisation Managing the companys accounts to ensure on-time payment and overseeing the software system for financial needs Maintain the privacy of financial information, and when necessary, backup databases Rectify any anomalies or inconsistencies they discover in the companys financial document Assess accounting software applications and accounting control procedures Make and evaluate the organisations year-end financial accounts Compose budget forecasts
View all details

Finance Manager

Bonhoeffer Heine Corporation

  • 8 - 14 yrs
  • Gurgaon
Financial Planning Financial Accounting Cash Flow Statement Fund Flow Management Trade Finance Import Export Trading Risk Management
Must haveFunding and Limit managementCash flow managementFind flow managementWorking Capital managementWorked with an Import and Export companyExpertise in trade finance and cash flow managementForecast monthly, quarterly and annual resultsApprove or reject budgetsSupervise a team of AccountantsIn Analysis1. Value addition management2. Project management3. Quarterly/Half yearly progress PPT Allocate resources and manage cash flows Conduct profit and cost analyses Develop secure procedures to maintain confidential information Ensure all accounting activities and internal audits comply with financial regulations Consult board members about funding options Recommend cost-reducing solutionsForecasting financial results.Overseeing the budgets.Conducting risk management.Evaluating and initiating investments.Allocating resources and managing finances.Recommending cost reduction strategies.Experience in import export tradingHead of Finance Requirements:Proven experience as a head of finance or a similar position.Solid understanding of financial management and accounting.Knowledge of accounting software.Strong analytical and decision-making abilities.Effective leadership qualities.In-depth understanding of cash flow management, bank reconciliation and bookkeepingHands-on experience with budgeting and risk managementExcellent knowledge of data analysis and forecasting modelsProficiency in accounting softwareSolid analytical and decision-making skillsBSc/BA in Accounting, Finance or relevant fieldMSc/MBA or relevant certification (e.g. CFA/CPA) is a plus
View all details

Finance Associate

Adsa Exportex

  • 4 - 8 yrs
  • 3.5 Lac/Yr
  • Netaji Subhash Place Delhi
Accountant Bookkeeping Balance Sheet Cash Flow Statement GST and TDS Finance Associate
1. Complying with all company, local, state, and federal accounting and financial regulations.2. Compiling, analyzing, and reporting financial data.3. Creating periodic reports, such as balance sheets, profit & loss statements, etc.4. Presenting data to management5. Maintaining accurate financial records.6. Performing audits and resolving discrepancies.7. GST Filling 8. Knowledge of UAE taxes9. Handle taxation for import and export 10. Keeping informed about current legislation relating to finance and accounting.11. Assisting management in the decision-making process by preparing budgets and financial forecasts.12. Perform monthly, quarterly and annual accounting activities including reconciliations of bank and credit card accounts, coordination and completion of annual audits, and reviewing financial reports/support as necessary13. Analyze and report on financial status including income statement variances, communicating financial results to management, budget preparation and analysis14. Improve systems and procedures and initiate corrective actions15. Oversee taxes and abide by regulations16. Assist in the preparation of financial reports such as financial statements and budget performance17. Ensure compliance with applicable standards, rules, regulations, and systems of internal control18. Aid in the implementation of new accounting policies, standards, and guidelines19. Provide accurate, timely, and relevant recording, reporting, and analysis of financial information20. Identify areas for improvement and implement improvements to processes21. Assist with and act as the primary point-of-contact for auditor requests22. Handle sensitive information in a confidential manner23. Provides financial information to management by researching and analyzing accounting data; preparing reports.24. Prepares asset, liability, and capital account entries by compiling and analyzing account information.25. Documents financial transactions by entering accoun
View all details

Get Personalized Job Matches

Based on your experience, skills, interests, and career goals to help you find the most relevant opportunities faster. Register Now!