and stabilize Sales and GP reporting by Account, Territory and Region to help Business to identify opportunities and risks. -Have quarterly profitability review with each region. -Quarterly Analysis of System GPs less depreciation at customer level and highlight high and low profit-making customers, SKUs ...
1. To be responsible for checking monthly provisions received from various departments. 2. To assist the team in preparing monthly/quarterly and annual financial statements. 3. To review and check reinsurance accounting. 4. To prepare monthly expense report and submit to CFO for review. 5 ...
making support readily available; integrating support with routine job functions. Supports training financial objectives by recommending budget items; controlling costs. Updates job knowledge by participating in educational opportunities; reading professional publications; maintaining personal
feasible solutions. Driving efficiency projects with various stakeholders to drive excellence and optimum use of resources. Executing process based/ compliance audits of critical areas, with end to end responsibility from scoping to issue of final report. Providing financial assurance by conducting
Essence of Role Key Accountabilities FINANCIALS Total Revenue: Achievement of revenue for the managed products in all channels for the year. Gross Margins: Percentage Gross Margin achievement for all products managed. Building organisation Health of innovation funnel: streamlining the processes
by smooth tax management under guidance of Head - Corporate Finance 2. Fulfill statutory compliance under direct tax laws such as e-TDS/FBT returns 3. Ensure management of tax assessments and audits by timely collation of accurate information 4. Provide support in completing tax audit, timely
Setup servicing function for the partnerships vertical in EdelGive Monitoring of budgets Monitoring of budget vs. actual on monthly and quarterly basis. Process and track revenue and expenses by program and account Reconcile accounts on a monthly basis, liaison with the F&A teams Manage grant
of actual costs. Admin financials overview and reconciliations Co-ordinate with branches; vendors and rent landlords for query resolutions Monthly provisions and accounting reports Adherence to PRC processes, co-ordination with Admin Regional Managers for validating PRC requirements Co-ordinate
1. Filing returns of income tax, TDS, service tax, VAT, PTRC, GST. 2. Handling various audits like statutory, income tax, VAT, GST 3. Identifying, investigating and rectifying routine errors and anomalies in data and reports so that all financial data can be relied upon 4. Monitoring and reviewing
and minimal variance from Standard Costs. To update Corporate Office in case of major revision if any. Review local Financials om Monthly basis and calculate provision for Tax & Suggest appropriate Inter-Company Mark-up / Service Charges etc. to reduce Tax incidence ...