Job Description
Manage Invoicing, Collection and Revenue Recognition.
Own the budgeting and forecasting for tax, cash flow, and other related metrics as part of short-term and medium-term planning processes.
Co-ordination with stat auditors, Internal auditors, and Bankers.
Ensure quality control over financial transactions and financial reporting
Managing and overseeing the taxation affairs of the organisation and liaising with the external tax firm for specialist advice, Reconciliation of Books with balances on TDS and GST portals
Research technical accounting issues for compliance
Maintain and enhance detailed financial models that track and analyze key metrics and their impact on company’s overall performance.
Collaborate with cross-functional teams to develop a process that expands existing understanding and improves predictability of the underlying drivers of tax and cash-flow
Play a key role in corporate long-range strategic planning process and partnering with the organization on Finance transformation initiatives.
Facilitate and drive frequent ad-hoc and targeted projects to support management on business decisions.
Lead process and system improvements for subject area and partner on cross-functional teams to drive the company’s continued growth and scaling.
Requirements
Analytical skills: Ability to work independently, think objectively and interpret meaningful and insightful narratives from both quantitative as well as qualitative data.
Financial and Business Acumen: Ability to evaluate financial and business indicators and translate as well as distill data into actionable information to drive results.
Problem Solving and Decision-Making Quality: Ability to apply rigorous logic and sound methods to solve multi-faceted problems with effective solutions.
Relationship Management: Able to build constructive and effective relationships with a broad and diverse group of business partners, inclusive of senior members of management.
Ability to influence at all levels, with a demonstrated aptitude to work effectively within a matrixed team across multiple functional areas and be assertive in driving successful management strategies.
Ability to manage multiple tasks in a deadline-driven environment while maintaining a high-level of precision and accuracy.
Presentation Skills: Effective in a variety of presentation settings including one-on-one, small and large groups.
Education and experience you require
CA, MBA- Finance, minimum of a Bachelor’s degree in Finance, Accounting and/or Economics
5+ years of accounting and finance experience
Thorough knowledge of accounting principles and procedures
Experience with creating financial statements
Experience with general ledger functions and the month-end/year end close process
Excellent accounting software user and administration skills
Advanced Excel and PowerPoint skills are required.
Prior experience in a high-growth global high tech/ software/ SaaS organization is a plus
City
Mumbai
State/Province
Maharashtra
Country
India
Industry
Technology
Zip/Postal Code
40005+
💡 Quick Summary
Seeking a career-building opportunity? The Financial Controller position is now open for candidates interested in the Accountant Jobs sector. This role in Mumbai 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.
