Company Name: ELEGANT Group
Roles & Responsibilities:
- To monitor and controlling the Receivable and Payable System on daily basis.
- Preparation of Cash Flow Statement, Financial Budgets, Ratio Analysis, Recovery Report, Financial Projection etc. on monthly basis and analyzing and presenting these reports to Top Management.
- To prepare and review various banks reconciliations and the raised discrepancy from reconciliation will be closely monitored and settled.
- To prepare management report on monthly, quarterly, half yearly, yearly and as when necessary and submit the reports to the Management in time.
- Knowledge of Tax, Vat and other regulatory matters is preferable.
- Any other legal tasks assigned by Management.
- Handle Companies all sorts of VAT & TAX issues independently.
- Work in a team environment and collaboration with various departments.
- Challenge taking attitude, work under pressure, ethical.
- To face yearly audit by the external auditors.
Educational Qualification:
- CA / CC from a reputed CA firm or Any reputed institute.
- Master of Business Administration (MBA)/ M.Com - major in Accounting/ Finance
Work Experience:
- At least 10 year(s)
Others Requirements:
- Age at least 33 years
- Only males are allowed to apply
- Personal attributes should include qualities such as consistency, willingness to learn and flexibility, capacity to manage confidential information, cultural sensitivity, able to follow through with difficult issues in an open and professional manner.
- Excellent command over written and spoken English to write resolutions, reports, memos, comprehensive proposals, presentations and conduct telephonic communications etc.
Others Benefit: