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Requirement For Agm/Dgm (Finance Controller)- PTL

Requirement For Agm/Dgm (Finance Controller)- PTL

Job Description:

Qualified CA with around 15 years of experience in large size logistics company having good experience in
Implement the financial policies of the company.
-Planning and administration of business plans budget and forecasts.
-Mobilization of short and long term funds and deployment of surplus
-Management of the accounting functions
-Catalyze cost reduction efforts
-Financial analysis of decisions
-Costing and pricing

Desired Candidate Profile :
-Incumbent should have Excellent exposure to corporate Financing
-To shoulder the independent charge of all finance and commercial activities
-Should be able to set up & manage F & A system & controls and deliver under time pressure
-Proficient in managing funds , implementing financial controls and putting internal control procedures in the company.

Applicants from Logistics industries would be preferred.

Roles & Responsibilities / Duties to be Performed-

-Responsible for planning, implementing, managing and controlling all financial-related activities of the company. This will include direct responsibility for accounting, finance, forecasting, strategic planning, job costing, legal, deal analysis and negotiations, investor relationships and partnership compliance and private and institutional financing.

-Assist the CEO and Board of Directors with strategic initiatives by studying market and economic trends and risks, and how to take advantage of opportunities and mitigate risks.
-Work with the CEO and Board to identify and evaluate the capital needed and investment returns of potential new projects, including acquisitions, investments, and expansion projects.
-Determining financial objectives, designing & implementing systems, policies & procedures in co-ordination with top management to facilitate best practice financial management.
-Developing business plans and strategies for maximizing profitability & revenue generation & realize organizational goals.
-Ascertaining the fund requirements after careful analysis of budget and plans; defining disbursement plan based on functional requirements.
-Preparing funds flow and cash flow statements to monitor the inflow & outflow of funds and ensure optimum utilization of available funds towards the accomplishment of corporate goals.
-Managing the timely preparation and presentation of statutory books of accounts, financial statements and annual reports, ensuring conformance to regulatory accounting standards.
-Ensuring timely filing of returns such as TDS, GST and Income Tax as per the relevant acts & interfacing with Tax Auditors and regulatory authorities for assessments and remittances.
-Liaisons work with Govt officials, Public Relation work, Managing Clearances through Govt. Authorities, Affiliated with Trade bodies.
-Analysis & finalizing various contracts / agreements from financial point of view and negotiation of contract terms with suppliers.
leading and motivating teams to achieve business objectives
-Build a team anchored in group values and motivated to achieve its vision and mission.

-Software Knowledge- Financial package of ERP (preferable SAP FI ) . MS -Office

Requirements
  • Qualification: B.Com - Commerce, Any Postgraduate - Any Specialization
  • Experience: 12 - 15 Yrs
  • Skills: ACCOUNTING FUNCTIONS BUDGETING
Specifications
  • Number of Openings: 1 Opening(s)
  • Job Type: Full-time Job
  • Industry: Academics
  • Functional Area: Any Postgraduate - Any Specialization
  • Job Code: 18Q3000111
Location: Delhi | Delhi | India