The Finance Manager oversees core accounting, financial reporting, and internal controls within an SAP HANA environment. You will manage book closures, trial balances, profit and loss accounts, balance sheets, bank reconciliations, and account payables ageing, including MSME compliance. Responsibilities include handling statutory, tax, cost, internal, and limited review audits, with Hyperion Financial Management (HFM) experience as an added advantage. You will also administer the SAP Costing module, managing bill of materials (BOM), activity postings, overhead assessments, batch closures, and finished goods stock valuations.
You will drive financial planning by preparing budgets, cash flow statements, board notes, and projected sales outlooks to assist the Head of Finance with board approvals. Treasury duties cover daily fund monitoring, payment disbursements, short-term loan management, interest payments, rollovers, and surplus fund investments in short-term mutual funds. You will execute forex hedging strategies, including forward cover bookings, cancellations, and accounting under Ind AS 109. Operational duties include payroll processing, statutory deductions (PF, ESI, TDS, TCS, Professional Tax), and account receivables collection follow-ups.
This role governs tax and trade compliance. You will file income tax, GST, XBRL, and Form 61A returns, advance tax, and address inquiries from tax authorities. You will manage export and import documentation, foreign currency payments, EDPMS, IDPMS, duty drawback (DBK), IGST refunds, bills of entry, customs clearances, and export incentive schemes. You will also implement systems, procedures, and policies to strengthen internal financial controls.