Compiling & analyzing financial information for preparing entries to accounts such as general ledger accounts and documenting transactions.
Establishing, maintaining & coordinating the implementation of accounting control procedures.
Screening new projects & conducting feasibility studies to determine the financial viability of new ventures, projecting cash and growth opportunities.
Interfacing with Banks, Financial Institutions and Consultants for arranging syndication and raising funds.
Preparing monthly performance report, balance sheet, profit & loss account and cash flow statement.
Supervising the preparation of MIS reports to provide feedback to top management on financial performance, viz. monthly profitability, age-wise analysis of debtors, pending advances list, outstanding issues, etc.
Implementing the internal audit policies and procedures; reviewing changes in requirements for fiscal operations affecting auditing processes.
Ensuring adherence to the statutory / regulatory requirements as per Sales Tax, TDS, Income Tax and Service Tax Acts.