General Manager Accounts & Finance for Cold Chain Logistics Job Vacancy in Crystal Group Mumbai, Maharashtra – Updated today

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Company Name :
Crystal Group
Location : Mumbai, Maharashtra
Position :

Job Description : Job descriptionPreparation & finalization of Monthly and Annual Balance Sheet, Manage and oversee daily operation of accounts department, prepare financial report and MIS, Complete Annual Statutory and internal audit, Debt Raising, implementing internal controlRole Head – Finance & Accounts (Preferably CA)Industry Type Courier / LogisticsFunctional Area Finance & AccountingEmployment Type Full Time, PermanentRole Category FinanceEducationPG : Chartered Accountant, MBA/PGDM in FinanceKey SkillsManaging end to end accounting, finance, taxation, administration including statutory audit and finalization of books accounts.- Generating P&L accounts and annual reports, consolidating of accounts & financial statement.- Formulating budgets & conducting variance analysis to determine projected vs. actual, implementing corrective actions.- Formulating & implementing MIS, monitoring movement of key business indicators including debtors’ control, inventory control, fund flow management and working capital management to facilitate decision making.- Maintaining MIS and reports for profit & Loss, cash flow, debtors outstanding, working capital and production MIS cost effective logistics. Spearheading accounting operations pertaining to accounting transactions, formulation/finalization of various accounts and statements like trial balance, profit & loss account, balance sheet and various reconciliation statements while ensuring compliance with Ind. AS and IFRS.- Supervising the preparation of MIS reports and analyzing the same to provide feedback to the top management on business performance, including monthly turnover, profitability, turnover & quarterly group hotels comparison.- Drafting periodical cash flow, fund flow related statements for monthly sales, purchase, budget, plan, cash flow, fund flow reports, monthly stock report.- Preparing & maintaining statutory books accounts and reconciliation of financial statements in compliance with the norms- Presenting a true and fair view of the financial position of the company by way of timely preparation of annual reports ensuring analyzing the expenditure monthly to control expenses- Generating and maintaining P&L Account and Balance Sheet- Planning & managing activities for ensuring completion of internal, statutory and external audits within time and cost budget under Shop & Establishment Act 1963; collaborating with statutory & internal auditors and government departments for ensuring statutory & internal control / policy compliance- Addressing Company Law matters and ensuring compliance to the statutory regulations- Ensuring that timely payments are made to / received from creditors / debtors Statutory Audit, Internal Audit, Financial Reporting, Tally ERP Advanced, Excel, Legal Compliance Budget Preparation, Powerpoint, Balance Sheet, MIS,Tax ComplianceTeam LeadingProfitability Report, MS Office Word, Debt RasingJob Types: Full-time, Regular / PermanentPay: ₹1,000,000.00 – ₹3,000,000.00 per yearSchedule:Morning shiftEducation:Master’s (Preferred)Experience:total work: 10 years (Preferred)Speak with the employer+91-XXXXXXXXXXApplication Deadline: 20/03/2022Expected Start Date: 01/04/2022

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