1) Drive the company’s financial planning
2) Perform risk management by analyzing the organization liabilities and investments.
3) Analyze and report on investment strategies by considering cash and liquidity risks.
4) Evaluate the organization’s fund-raising plans
5) Ensure cash flow is appropriate for the organization’s operation depending on behaviors of creditors.
6) Supervise all finance personnel (controller, treasurers etc).
7) Manage vendors relationship depending on importance of vendor (Creditors / Debtors)
8) Prepare reliable current and forecasting reports.
9) Setup and oversee the company’s financial IT system.
10) Ensure compliance with statutory compliance required and company’s policies.
11) Manage team of financial controller and financial analysts.
12) Produce reports and recommendations following internal audit and external audit.
13) Well adversed with Tally and SAP
14) You will be deemed to follow all above mentioned job duties and responsibilities in addition to any other duties as and when required by our CEO
Job Types: Full-time, Regular / Permanent
Salary: ₹30,000.00 – ₹40,000.00 per month
Schedule:
Supplemental Pay:
Experience:
Work Remotely:
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