Overview
Our client is a global MNC with India HQ in Kolkata
Role Summary:
– Manage and review weekly & monthly reporting, quarterly forecast and annual budgeting process.
– Ensure that all the tax returns are prepared, submitted and taxes are paid in line with the local Authority deadlines.
– Manage and optimize cash flow to ensure liquidity and working capital needs are met, while reducing interest costs.
– Identify and evaluate investment opportunities to optimize returns on surplus cash.
– Address all issues raised by internal and external audit and develop measures to ensure compliance where applicable.
Experience/ Skills Requirement:
– Qualified Chartered Accountant (CA) with 10+ years of experience.
– Experience in Manufacturing or Mining Industry is preferred.
– Strong interpersonal skills and team management skills.