Overview

Our Client is a leading Real Estate company in Delhi NCR

Key Responsibilities:

– Ensure timely and accurate preparation and consolidation of the company’s balance sheet, in compliance with IND AS and SEBI requirements

– Oversee the preparation of the company’s budget and long- term business plans, ensuring alignment with financial goals and operational objectives

– Supervise treasury functions, ensuring proper cash flow management and minimizing financial risks across the business

– Establish and maintain strong internal financial controls to ensure operational efficiency and safeguard the company’s assets

– Leading direct and indirect tax with experience.

Experience/ Skills Requirement :

– Qualified Chartered Accountant (CA) with 15+ years of experience

– Experience in Real Estate Industry is preferred.

– Strong interpersonal and team management skills.