PSPss Global
Vice President - Finance
Ahmedabad ₹9-14 LPA Posted 9 Jul 2025
FULL TIME
Accounting & Taxation
Audit & Compliance
Banking & Finance
Financial Reporting & Planning
Investment & Asset Management
Job Description
Job Description
General Requirements:
- Candidate should have exposure in a Limited Company
- Candidate should have experience with managing day-to-day routine operations of the organisation (personally managing)
Accounting & Taxation:
- Support the external audit in carrying out and ensuring the timely completion of the audit
- Preparation of Tax Audit Reports & Taxation
- Computation of GST liability and review of the timely filing of GSTR-3B
- Handling GST Notices for assessment with the GST Department
Banking & Finance:
- Exposure to interacting with banks, vendors, auditors, government authorities, financial institutions, and other third parties dealing with the company
- Compliance with various Regulations/Acts/Rules within due time
Investment & Asset Management:
- Oversight and management of the company's investments and physical/intangible assets
Compliance & Standards:
- Strong understanding and application of Indian Accounting Standards (IAS)
- Adherence to SEBI guidelines
Financial Reporting & Planning:
- Finalization of Financial Reports (Quarterly/Yearly/B/S)
- Monitor and analyze day-to-day accounting data and produce financial reports & statements
- Assist in the preparation of the annual budget and annual business plan
- Preparation of Balance Sheet, Profit and Loss statements, and Cash Flow Management (Projected & Actual) as required monthly, quarterly, and yearly
- Preparation of Operational Annual Budget & Control, Financial Planning, Strategy & Reports
- Managing budget (CAPEX/OPEX) across all costing issues & providing variance analysis & actuals
- Monitoring month-end reports, schedules, payments, receipts, Accounts Payable & Receivable
- Finalizing activities relating to Balance Sheet, Profit & Loss Account
Audit & Compliance:
- Manage Internal Audit and Statutory Audits
- Ensure compliance with statutory guidelines
Stakeholder Management:
- Handle shareholder/investor interactions and query management
Account Reconciliations:
- Responsible for financial statement reconciliations and account closing activities
