Role & Responsibilities
– Managing the financial reporting for the organization. This includes monthly financial reporting, budgeting and forecasting, 5 year financial plans and all statutory financial reporting
– Providing sound financial support and insights to enable to make critical business decisions
– Presentation of financial results and insights to the Board
– Play a key role in the formulation of the business’s strategy
– Managing and overseeing the taxation affairs of the organization and liaising with the external tax firm for specialist advice
– Managing and overseeing the cash flow of the company and ensuring it has the appropriate treasury controls
– Managing the External Auditor relationship and ensuring the organization is compliant with accounting standards
– Managing and overseeing the company’s banking and borrowing arrangements
– Managing relationships with Investors (where applicable)
– Managing and overseeing the company’s financial systems
– Investment appraisal and analysis
– Presenting results to non-finance people to understand
– Overseeing Accounts Payable, Accounts Receivable, Tax, Treasury, Payroll, Financial and Management Accounting functions.
– Risk Management to ensure the business has a solid risk framework in place
– Advising and implementing best practice methods to increase revenue and reduce costs
– Advising on market changes and providing strategic financial recommendations to the ELT and Management
– Managing and tracking budget and accounting information including billing, collections, and tax information
– Reviewing all formal finance related policies and procedures
About Company –
The company is a group of companies diversified its activities in mining, metals and leasing business. Headquartered in Kolkata, company has pan India presence. Currently company is looking for above position in Mumbai area


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