Job Details
● A competent professional with over 10 years of experience in Finance & Accounting operations.
● Expertise in building competent strategies & processes, thereby facilitating revenue growth; excellent track record of driving expansion of business to highly competitive & new markets and building strong customer relationships
● Diligently prepare & maintain statutory books of accounts and reconciliation of financial statements in compliance with the norms; deftly undertake cash control & budgeting.
● Prepare year-end financial statements in compliance with accounting standards and monitor statutory books of accounts and financial statements including Trial Balance, Profit & Loss Account, Age-Wise Accounts Payables and Receivables Statements and Balance Sheets.
● Formulation & Consolidation of Bottom-up Annual Operating Budget & Monthly Forecast., Variance Analysis between Actual & Forecast numbers.
● Budget variance analysis with respect to the actual expense in order to Enable Decision Making
● Prepare fund flow and cash flow statements to monitor the inflow & outflow of funds and ensure optimum utilization of available funds to accomplish organizational goals
● Lead Auditing the Fixed asset record and Capitalization of asset, It help the calculated accuracy of depreciation, following company act and income tax act. Identified that Audit results Variation of capitalization asset and recommended a new policy to automate capitalization of asset.
● Efficient organizer, motivator, team player and a decisive leader with the ability to motivate teams to excel and win