Finance & Accounts Manager
Job Description
EXPERIENCE IN THE MANUFACTURING SECTOR IS MANDATORY
1. Multi-Unit Accounting
• Independently manage day-to-day accounts for multiple business entities
• Ensure books are current, reconciled, and audit-ready at all times
2. Strategic Costing & Inventory Control
• Maintain accuracy of Bills of Materials (BOM), WIP valuation, and overhead absorption
• Analyze cost variances and proactively highlight anomalies
3. Payroll & Statutory Compliance
• Process monthly payroll for 100+ employees/workers
• Handle PF, ESI, PT deductions, remittances, and annual filings
4. Banking, Treasury & OD/CC Compliance
• Perform daily bank reconciliations across accounts
• Manage current accounts and coordinate OD/CC facilities
• Oversee NEFT/RTGS/cheque transactions
• Submit stock statements and drawing power calculations to banks on time
5. Accounts Payable, Vendor Payments & Receivables
• Monitor debtor ageing and follow up on outstanding receivables
• Plan vendor payments strategically based on cash flow and credit terms
• Ensure critical suppliers are prioritized and not delayed
6. Fixed Assets Management
• Maintain fixed asset register and depreciation schedules (Companies Act & IT Act)
• Conduct asset tagging and periodic physical verification
7. Job Work Compliance (ITC-04)
• Prepare and file ITC-04 for job work transactions (inward & outward)
8. ERP & Data Integrity
• Ensure accurate accounting entries in ERP (e.g., Tally Prime)
• Maintain clean chart of accounts and periodic data backups
• Standardize voucher naming and accounting practices
9. Internal Controls & SOP Implementation
• Design and enforce SOPs for petty cash, purchases, expenses, and inventory
• Strengthen internal financial controls and compliance
10. Taxation & Statutory Compliance
• Coordinate with CA and GST consultants
• Manage GST filings, GSTR-9, GSTR-9C, and audits
• Handle advance tax, TDS (194C, 194H, 192, etc.) and quarterly returns
11. Import & Export Documentation
• Manage shipping documentation, Bills of Entry, and Letters of Credit
• Handle forex payments and DGFT compliance
• Liaise with customs and logistics consultants
12. Audit & Operational Controls
• Conduct periodic site visits for stock verification and expense validation
• Support statutory audit with schedules, reconciliations, and confirmations
13. Financial Planning & Budgeting
• Prepare cash flow forecasts for operational funding
• Develop monthly budgets and track actuals vs budget
• Provide variance analysis and insights
14. Management Reporting
• Prepare monthly Trial Balance and variance reports for leadership
• Generate cash flow statements and financial summaries
15. E-Commerce & Online Sales Compliance
• Reconcile payment gateways (Razorpay/PayU, etc.) daily
• Ensure compliance with TCS (Sec 206C(1H)) and GST for online sales
• Manage credit notes, refunds, and GST adjustments
16. Team Management
• Supervise junior accountants and data entry staff
• Review work, ensure accuracy, and drive accountability
17. Banking & Financial Institution Liaison
• Manage relationships with banks and financial institutions
• Handle loan documentation and renewal of credit facilities
• Support credit proposals and financial discussions
18. MIS Reporting
• Prepare structured monthly MIS reports for management
• Present financial performance, cost trends, and actionable insights
