Job Description

We are hiring for a Reputed Financial Technical Service Company Role: Finance Manager Experience: 3-7 years Role : Invoice & Expense Management: Post invoices in SAP, allocate costs to correct accounts, ensure TDS compliance, and process expense reports per company policy. Payments & Banking: Handle international and urgent payments, liaise with CAs for foreign remittances, and reconcile bank statements. Month-End & Year-End Closing: Prepare accruals, clear accounts, and ensure accurate reconciliations for IFRS and Indian GAAP closings. Revenue Accounting: Calculate and book traffic revenue, prepare MIS reports, and manage debtor aging with follow-ups. Statutory Reporting: Draft Balance Sheet, P&L, Cash Flow, Directors Report, and Annual Report with required disclosures. Tax Compliance: Manage TDS, GST, CIT provisions, quarterly filings, and assist in tax audits; prepare transfer pricing documentation. Audit Coordination: Prepare Packages and liaise with auditors and actuaries for accurate provisions. Regulatory Filings: Ensure timely GST returns, LUT renewals, professional tax filings, and service tax refund claims. Requirements Requirements: Experience in Big 4 (current /past) Must Be an CA Qualified. Financial Accounting & Reporting: Strong ability to prepare and review financial statements (Balance Sheet, P&L, Cash Flow) under IFRS and Indian GAAP. SAP & ERP Proficiency: Hands-on experience in posting invoices, expense reports, accruals, and reconciliations in SAP. Tax Compliance & Regulatory Filings: Expertise in TDS, GST, CIT, and professional tax compliance, including e-filing and documentation. Analytical & Problem-Solving: Ability to analyze discrepancies, propose accruals, and ensure accurate reconciliations. Audit & Liaison Skills: Experience in preparing audit packages, coordinating with auditors, and handling statutory requirements.

Experienced
Job Description We are hiring for Reputed Financial Technical Service Company Role: Finance Manager Experience: Min 3 years CTC: Max 15 lpa Role : • Invoice & Expense Management: Post invoices in SAP, allocate costs to correct accounts, ensure TDS compliance, and process expense reports per company policy. • Payments & Banking: Handle international and urgent payments, liaise with CAs for foreign remittances, and reconcile bank statements. • Month-End & Year-End Closing: Prepare accruals, clear accounts, and ensure accurate reconciliations for IFRS and Indian GAAP closings. • Revenue Accounting: Calculate and book traffic revenue, prepare MIS reports, and manage debtor aging with follow-ups. • Statutory Reporting: Draft Balance Sheet, P&L, Cash Flow, Directors’ Report, and Annual Report with required disclosures. • Tax Compliance: Manage TDS, GST, CIT provisions, quarterly filings, and assist in tax audits; prepare transfer pricing documentation. • Audit Coordination: Prepare Packages and liaise with auditors and actuaries for accurate provisions. • Regulatory Filings: Ensure timely GST returns, LUT renewals, professional tax filings, and service tax refund claims. Requirements Requirements: Experience in Big 4 (current /past) Must Be an CA Qualified. Financial Accounting & Reporting: Strong ability to prepare and review financial statements (Balance Sheet, P&L, Cash Flow) under IFRS and Indian GAAP. • SAP & ERP Proficiency: Hands-on experience in posting invoices, expense reports, accruals, and reconciliations in SAP. • Tax Compliance & Regulatory Filings: Expertise in TDS, GST, CIT, and professional tax compliance, including e-filing and documentation. • Analytical & Problem-Solving: Ability to analyze discrepancies, propose accruals, and ensure accurate reconciliations. • Audit & Liaison Skills: Experience in preparing audit packages, coordinating with auditors, and handling statutory requirements.

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