Job Responsibilities :
Banking, Treasury and forex management
To manage complete set of company's accounts
Budgeting and performance analysis of company's actual v / s budgeted operation
MIS reporting to management
Insurance of company's assets and manpower
To manage company's import activities
Liaising with auditor, tax consultant and company secretary
Reporting & liaising with tax authorities and various statutory & Govt. agencies
Able to successfully manage audit, taxation & secretarial matter of the company
Establishing & managing the company's financial performance by structuring systems with adequate controls and checks at strategic positions
Willing to work hands-on
Comfortable with ambiguity
Willing to work long hours tirelessly
Strong conviction and assertive
Willing to do original work, from scratch
Excellent man-management skills
Track record of having created systems, controls and having implemented them
Long term player
Attractive Savings along with local allowance (subject to tax deduction) & family accommodation & company maintained car with driver.
If interested, please share your updated CV for further processing.
This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.