Job Summary:
We are looking for a Finance & Accounts Manager with experience in real estate finance to lead our financial operations. The ideal candidate will have strong expertise in financial reporting, budgeting, forecasting, and compliance (GST & TDS). They will also be responsible for cash flow management, investor relations, CMA report preparation, audits, and team leadership.
Key Responsibilities:
Financial Management & Reporting:
- Oversee daily financial operations of the accounting department.
- Monitor and analyze financial data, preparing accurate reports and financial statements.
- Establish and enforce accounting policies, procedures, and internal controls.
- Ensure timely completion of audits and financial compliance.
Compliance & Regulatory Affairs:
- Ensure compliance with GST, TDS, and other statutory requirements.
- Manage taxation processes, ensuring accurate filing and reporting.
- Stay updated on real estate financial regulations and compliance standards.
Budgeting & Cash Flow Management:
- Manage budgeting and forecasting processes to ensure financial stability.
- Oversee cash flow management, ensuring liquidity for operational and project needs.
- Prepare CMA (Credit Monitoring Arrangement) reports for financial institutions.
Investor & Banking Relations:
- Liaise with investors, banks, and financial institutions for funding and financial planning.
- Ensure transparent and efficient communication with stakeholders.
- Identify financial risks and develop strategies for risk mitigation.
Leadership & Team Management:
- Lead and mentor a team of finance and accounts professionals.
- Ensure high levels of accuracy, efficiency, and productivity within the department.
- Collaborate with senior management to align financial strategies with business goals.
Required Skills & Qualifications:
- CA (Preferred) / MBA in Finance.
- 3 years of experience in finance & accounts, preferably in the real estate industry.
- Strong knowledge of financial reporting, taxation, GST & TDS compliance.
- Expertise in budgeting, forecasting, and financial analysis.
- Proficiency in Tally, MS Office, and financial databases.
- Strong analytical, problem-solving, and leadership skills.
- Excellent communication and stakeholder management abilities.
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