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Finance -AVP -BFSI Sector
Location:
IN-Mumbai
Jobcode:
64bba71922c9dec67c034113
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A Mumbai Based Financial Services Corporate having a PAN India presence , is hiring for a Finance -AVP profile


Academic Qualification and Experience:

CA

Experience: Profile with minimum 10 years of experience in mid-size / large org.

Preferred candidate who has handled Big 4 audits.

Preferred candidates with experience in NBFC, HFC, Bank and LAP Loan Book handling.


Knowledge, Competency and Skills requirement:

Excellent written and communication skills.

Strong knowledge of financial regulations, tax laws, and accounting principles.

Proven work experience focusing on taxation, payments, auditor management, and management reporting.

Advanced proficiency in financial software and Microsoft Excel for data analysis and reporting.

Ability to manage and lead a team


The position holder shall be responsible for:

Monitor the day-to-day financial operations within the company.

Prepare monthly and quarterly management reporting.

Prepare consolidated statements on all business partner performance indices and reconciliation.

Drive reporting on vendor / partner performance.

Analysing financial data and providing meaningful insights to support management decision-making.

Participate in strategic data analysis, research, and modelling for senior company leadership.

Support project analysis, validation of plans, and ad-hoc requests from partners and senior management.

Manage the company's financial accounting, monitoring, and reporting systems.

Ensure compliance with accounting policies and regulatory requirements.

Managing all aspects of Tax compliance, including preparing and filling tax returns, and ensuring timely payment of taxes.

Staying updated with Tax laws and regulation.

Collaborating with external Tax advisors.

Overseeing the payment process, ensuring accuracy, efficiency, and compliance with internal controls.

Coordinating with vendors, suppliers, and internal departments to resolve payment related issues and managing cash flow effectively.

Acting as point of contact for external auditors during financial audits. Leading and managing a team of finance professionals.

Conducting financial analysis to assess companys financial performance, identifying areas of improvement, and recommending strategies to optimize profitability, costefficiency, and cash-flow management.

MONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED

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