| Job Title | Finance Manager |
|---|---|
| Category | Finance |
| Location | Faridabad( Sector 27C ) |
| Company | Madhava Solutions |
| Description | Job description JD- FINANCE MANAGER Company: Madhava Solutions Department: Finance & Accounts Designation: Finance Manager Location: Faridabad, Haryana Industry: International Trade / Commodity Exports Salary: Negotiable About the Company Madhava Solutions is a growing organization engaged in International Trade and Commodity Exports. We are looking for a competent and detail-oriented Finance Manager to lead our finance and accounting operations, ensure regulatory compliance, and provide financial insights that support business growth and operational excellence. Job Summary The Finance Manager will be responsible for overseeing the company's financial operations, accounting processes, taxation compliance, financial reporting, and cash flow management. The ideal candidate should possess strong expertise in bookkeeping, taxation, statutory compliance, financial controls, and reporting while ensuring the accuracy, integrity, and confidentiality of financial information. Key Responsibilities Financial Management & Reporting Prepare accurate financial statements, balance sheets, profit & loss accounts, and management reports. Monitor financial performance and provide analytical insights to support strategic business decisions. Manage budgeting, forecasting, and financial planning activities. Ensure timely month-end and year-end financial closures. Present financial reports and key performance indicators to management. Accounting & Bookkeeping Oversee daily financial transactions, including accounts payable, accounts receivable, and bank reconciliations. Maintain accurate books of accounts and general ledger records. Ensure proper recording, classification, and reconciliation of financial transactions. Verify financial data and resolve discrepancies in a timely manner. Taxation & Regulatory Compliance Ensure timely filing of GST, TDS, VAT/Sales Tax (where applicable), Income Tax Returns, and other statutory compliances. Prepare tax computations and maintain complete tax documentation. Coordinate with auditors, consultants, banks, and regulatory authorities. Stay updated on changes in taxation laws and financial regulations. Support internal and external audits by providing accurate financial information and documentation. Cash Flow & Treasury Management Monitor and manage cash flow to ensure smooth business operations. Track receivables and payables to optimize working capital. Coordinate banking activities and maintain relationships with financial institutions. Manage fund utilization and liquidity planning. Data Management & Financial Controls Securely manage, maintain, and back up financial data while ensuring confidentiality and data integrity. Establish and monitor internal financial controls and accounting processes. Ensure compliance with company policies and financial governance standards. Required Skills Balance Sheet Preparation Bookkeeping Cash Flow Management GST Compliance TDS Compliance Tax Returns Filing Taxation (VAT & Sales Tax) Financial Reporting Accounts Payable & Receivable Management Bank Reconciliation Financial Analysis Advanced MS Excel Tally ERP Attention to Detail and Accuracy Qualifications Bachelor's Degree in Commerce, Accounting, Finance, or a related field. CA Inter, CMA, MBA (Finance), or equivalent professional qualification will be preferred. Experience 36+ years of relevant experience in Finance, Accounting, Taxation, and Financial Reporting. Hands-on experience in Tally ERP, GST filings, TDS compliance, statutory reporting, and reconciliations. Experience handling audits, taxation matters, and compliance requirements. Prior experience in International Trade, Export, Manufacturing, or Commodity-related industries will be an advantage. |
| Salary | 2.5-4.5 Lacs P.A. |
| Last Date | 2026-06-22 00:00:00 |
| Apply Link | Click Here |
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