Job Title
Gandhinagar,
Индия
Gandhinagar,
Индия
Job Summary
We are seeking a highly competent and detail-oriented Finance & Accounts Manager to oversee the day-to-day financial operations of the organization. The ideal candidate will have 4–6 years of experience managing accounting functions, statutory compliance, and financial reporting, with hands-on experience in cash flow planning, banking coordination, and export-import finance.
Required Skills & Competencies
- Strong knowledge of Indian Accounting Standards, GST, TDS, and Export Regulations
- Proficiency in Tally ERP, Excel, and banking platforms
- Excellent communication and negotiation skills
- Ability to work independently and manage a small team
- High integrity and analytical mindset
Educational Qualification
- CA/ M.Com / MBA (Finance)/ CA Inter
Location & Timing
- 100% onsite. Sector - 26, Gandhinagar
- 6 days in a week
- Monday - Saturday: 9.00 am to 6.00 pm
Our Product
Key Responsibilities
- Cash Flow Management
- Prepare and monitor weekly/monthly cash flow forecasts.
- Optimize working capital management to ensure timely availability of funds.
- Manage fund flow across multiple bank accounts and business units.
- Forecast short-term and long-term cash requirements.
- Banking & Financial Institution Liaison
- Maintain strong working relationships with bankers for working capital limits, forex, and term loans.
- Handle documentation and compliance for LC/BG/PCFC/FDBP facilities.
- Ensure timely submission of CMA data, stock statements, and other periodic bank reports.
- Coordinate for bank audits and credit rating assessments.
- Export & Import Documentation & Compliance
- Manage end-to-end export and import documentation including shipping bills, invoices, LUT, AD code, and BRC.
- Ensure compliance with FEMA, RBI guidelines, and DGFT regulations.
- Reconcile export proceeds and monitor timely realization of export receivables.
- Financial Statement Preparation & Finalization
- Prepare monthly and annual financial statements in compliance with applicable accounting standards.
- Coordinate with external/internal auditors for timely finalization and audit completion.
- Maintain chart of accounts, ledger scrutiny, and period-end adjustments.
- Compliance Management (TDS, GST, Income Tax)
- Timely filing of GST returns (GSTR-1, 3B, annual), TDS returns, and reconciliation with books.
- Ensure proper tax deductions, remittances, and reporting.
- Handle notices, assessments, and liaison with consultants or departments.
- Accounts Receivable & Payable Management
- Monitor ageing reports and ensure timely collections from customers.
- Process vendor payments as per agreed credit terms while optimizing working capital.
- Perform periodic reconciliation of receivable/payable accounts.
- Stakeholder Coordination & Reporting
- Interface with statutory auditors, tax consultants, banks, and other regulatory bodies.
- Provide management with financial MIS, variance reports, and actionable insights.
- Assist in budgeting, cost control, and profitability analysis.
What We Offer
- Remuneration: As per industry standards remuneration, negotiable based on experience and expertise.
- Professional Growth & Development: opportunity to work in a dynamic environment with ample scope for career advancement.
- Exposure to International & Local Markets: work in a company with both domestic and international operations, allowing you to gain diverse experience in finance and accounts across multiple markets.
- Performance Recognition: Your contributions will be recognized and rewarded with opportunities for growth, both personally and professionally.
- Modern Tools & Technologies to work with the latest financial
tools, Odoo ERP system, and accounting software to optimize processes and
improve efficiency.