Job Description
We are seeking a Finance Manager to work on end-to-end financial management including Budgeting, AOP development, MIS preparation & review, variance analysis, financial modelling, cost benefit analysis, pricing & regular compliance.
The position will appeal to an individual with strong business acumen & capability to align business goals to financial goals. The successful individual will have a business, accounting, finance background and is a qualified CA/ MBA (finance)/ CFA.
The role will involve being immersed in multiple projects and working closely with stakeholders to ensure financial implications are fully understood as part of the company’s project screening, approval and performance monitoring process.
Provide advice and counsel to management regarding taxation, treasury, cash management, borrowings and other risk factors to achieve desired business results. Also to mobilize resources and ensure efficient cash flow management to support various future projects.
Responsibilities:
• Oversee all activities necessary to process payrolls, including maintaining related records and voluntary deduction reports, processing involuntary deductions e.g. Invoicing, Labour Laws, P.F., E.S.I & P.T, Payroll Processing, TDS, Tax etc.
• Assist in maintaining internal workforce data and reports, including: productivity, employee hours/ overtime, and contract labour tracking and monitoring.
• Handling Compliances of Statuary Audit,
• Handling of Accounts Payables and Accounts Receivables their reconciliation.
• Preparation of Bank Reconciliation Debtors / Creditors on monthly basis or at the time of payment.
• Computation and supervision of Income Tax (TDS on Salary, Professional, Sub-Contractor, Contractor, Rental and Individuals Returns, Challan Payments Co-ordination with Department).
• Computation and supervision of Service Tax (Calculation, Challan Payment, Return, Availing of Tax on Input Service, and Co-Ordination with Department )
• Computation and supervision of Value Added Tax (Calculation , Challan Payment Return, Credit of Input Vat , Assessment of CST, all type of Form Issued C F Form, and road permit, Co-Ordination With Dept.
• Computation and supervision of Goods and Service Tax (Calculation, Challan Payment, Return, Return Filling GSTR-3B, GSTR-1 GSTR-2, GSTR-3,Credit of Input and Co-Ordination With Department)
• Preparation of Provisional Projected Balance Sheet, Budget, Trial Balance, Profit Loss A/c. and finalization of Balance Sheet and Accounts Books , Income Statements.
• Contribution to continuous improvement of processes, procedures and systems to ensure payroll systems remain fully operational at key processing and reporting times
• Managing the month end activities which include closing of sub ledgers, general ledger account reconciliations, reporting and
💡 Quick Summary
Seeking a career-building opportunity? The Finance and Accounts Manager position is now open for candidates interested in the Accountant Jobs sector. This role in Hyderabad offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Accountant Jobs is a plus.
