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Job Description
Structured overview of role & requirementsAbout This Role
Prepare monthly MIS and financial reports, analyze profitability and business performance.
Manage receivables, cash flow, reconcile accounts, and ensure timely month-end closures.
Support budgeting, forecasting, financial modeling, identify cost optimization opportunities, and strengthen financial controls.
Minimum Requirements
1+ years of experience in Finance, Accounting, or Financial Controlling.
Qualification: CA Inter, CMA Inter, B.Com / M.Com or equivalent.
Working understanding of accounting principles, GST, TDS, and statutory compliance.
Proficiency in MS Excel and accounting software such as Tally, Zoho Books, SAP, or Oracle.
Ideal Candidate Profile
Experience includes account payable/receivable, bank reconciliations, ledger scrutiny, and month-end closing.
Capable of providing data-driven insights to support strategic business decisions and financial controls.
Comfortable working in fast-paced environment supporting multiple stakeholders including vendors and auditors.
