Finance & Accounting Manager Job in Blazeclan Technologies

Finance & Accounting Manager

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Job Summary

Wearelookingforanexperiencedpersontoundertakeallaspectsoffinancialmanagement, includingcorporateaccounting,regulatoryandfinancialreporting, budgetandforecastspreparation,aswellas developmentofinternalcontrolpoliciesandprocedures.

Proven working experienceasa Manager in Finance Department with experienceofleading a team. Should have around 10-12 yearsofoverall combinedaccountingandfinance experience.

Advanced degree inAccounting(Qualified CA). Thorough knowledgeofaccountingprinciplesandprocedures. Experience with creatingfinancialstatements, General ledger functionsandthe month-end/year end close process. Should beanexcellentaccountingsoftware userandadministration skills. Should have IT Industry experience.

Accounting:

  • Allaccountingallocationsareappropriately madeanddocumented.
  • Perform cashmanagementfunctionsandoversee accounts payable, accounts receivable, cash disbursements, payrollandbank reconciliation functions.
  • Help setup processed and maintain a separation of duties with regards to accounting functions to ensure that there are checks and balances in the system.
  • ManageallaccountingoperationsincludingBilling, A/R, A/P, GLandCounsel, CostAccounting, InventoryAccountingandRevenue Recognition.
  • Coordinateanddirect thepreparationofthebudgetandfinancialforecastsandreport variances.
  • Prepare and publish timely monthly financial statements. Coordinate the preparation of regulatory reporting.
  • Ensure qualitycontroloverfinancialtransactionsandfinancialreporting.
  • Manageandcomply with local, state,andfederal governmentreportingrequirementsandtax filings.
  • processesandaccountingpoliciestomaintainandstrengtheninternalcontrols.
InternalControls:
  • He/She will be responsible for establishing and executing internal controls over the company s accounting and financial procedures.
  • This includes reviewingandapprovingallinvoicestobe paid,aswellasreviewing accounts receivable aging reports.
  • Responsibleforcoordinating with external tax accountantsforincome taxpreparationandauditors who prepareinternalauditsofthe company.
  • This includes keeping company records organizedandreadily availableforexamination.
  • Responsibleforallbankingandfinance activities.
  • This includes negotiating lines of credit and vendor agreements, as well as reviewing all financial contracts, financing agreements and insurance policies.
  • Responsible for providing accurate and comprehensive financial information to executive management for long-term financial strategizing.
  • Must provide crucial financial data and work with executive management to coordinate all financial planning functions with business operations.
  • Financialreportingduties include preparingfinancialstatements, balance sheets, cash flow reports, budgets,budget-to-actualsandfinancialprojections.



Requirements

Key Roles and Responsibilities:
  • Funds Management: To manage the cash-flows of the business, keep a close watch on the receivables, and plan well to ensure business operations run smoothly.
  • Systems and Processes: Need to lead and improvise various systems and processes, with a view to strengthening those in line with best practices.
  • Management Reporting: Intense validation of actual and analyse trends. Constant interaction with the BU Heads to ensure correct reporting of data. Assist Finance Head in driving Monthly business reviews and provide data for the analysis. Adhoc analysis to support business needs.
  • Team Building: Be a team player, and to continuously work towards developing skills of all the team members with a view to increasing productivity on a continuous basis.
  • Collaboration: Collaborative approach to align business and financial community to help in catering strategic requirement. Proactive in foreseeing challenging situation ahead and act prompt. Indulge in monthly/ weekly business calls to acquire/discuss on the business insights and ensure the connect between finance and Other departments. Have the capability to challenge, interact with Sales teams and question status quo.
  • Audits: Work closely with internal and external auditors. Work constructively towards addressing issues and gaps identified by the auditors.
  • Fund Raising: To work closely with the Finance Head to raise debt and equity funds. Assist in analysis and sharing of data to manage Investor Relations function, along with the Finance Head.
This is an extremely vital role that would be responsible for tracking and analysing financial information to ensure that the organization takes decisions that are aligned to its vision.End to End Revenue Recognition ownership.

Required Experience and Qualification:
  • Proven working experience as a Financial Manager / Controller
  • 12+ years of overall combined accounting and finance experience
  • Advanced degree in Accountingor Qualified CA
  • Thorough knowledge of accounting principles and procedures
  • Experience with creating financial statements.
  • Experience with general ledger functions and the month-end/year end close process
  • Excellent accounting software user and administration skills
  • Experience with Revenue Recognition and Budgeting process



Experience Required :

Minimum 11 Years

Vacancy :

2 - 4 Hires

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