Sunday 3 December 2023

Finance and accountmanager Role

 



Company Overview

At Codvo, software and people transformations go hand-in-hand. We are a global empathy-led technology services company. Product innovation and mature software engineering are part of our core DNA. Respect, Fairness, Growth, Agility, and Inclusiveness are the core values that we aspire to live by each day.



Financial Closing and Consolidation: Responsible for the monthly, quarterly, and yearly financial closing at the corporate level. Lead the consolidation and presentation of financial data. Manage budgeting and forecasting activities. Administer Due diligence, Insurance, and Accounts payable controls.


  • Financial Reporting and Compliance: Prepare and review statutory financial books of accounts and compliance-related reports within specified timeframes.
  • Ensure accurate and timely financial reporting, including income statements, balance sheets, and cash flow statements. Monitor compliance with relevant financial regulations and standards in India & US. Oversee tax planning and maintain relationships with tax authorities.
  • MIS Reporting and Analysis: Prepare MIS reports for top management, including monthly profitability and sales analysis.
  • Analyze expenditure trends and provide budget recommendations. Conduct variance analysis for informed decision-making.
  • Review each component of the profit and loss statement (P&L), ensuring a comprehensive maker and checker process.
  • Business Review and Strategy: Perform comparative analysis (Budget vs Actual) for balance sheet, profit and loss accounts, and various MIS reports. Develop and execute the financial strategy in alignment with the company's objectives. Prepare annual budgets and long-term financial forecasts.
  • Evaluate investment opportunities and provide growth-focused recommendations (Optional)
  • Risk Management and Cost Control: Identify and assess financial risks, implementing strategies to mitigate them. Maintain a robust internal control system. Monitor and control operating costs to improve efficiency and profitability. Implement cost reduction initiatives when necessary. Cash Flow and Working Capital Management: Manage cash flow to ensure the company's liquidity needs are met. Develop strategies to optimize working capital.
  • Leadership and Team Management: Build and lead a high-performing finance team. Foster a culture of financial discipline and accountability.
  • Qualification & Requirements: Work experience of 8-10 years in similar role. Must be a CA OR MBA(Finance) OR US CPA (Pursuing/Completed). Strong knowledge of relevant tax laws, regulations, and accounting principles. Excellent analytical and problem-solving skills to identify discrepancies and resolve complex tax-related issues. Good understanding of financial statements and ability to perform financial analysis. Strong communication and interpersonal skills to effectively collaborate with internal teams and interact with clients and tax authorities. Familiarity with Accounting Software like QuickBooks & Zoho Books.
  • Personal Attributes The incumbent must demonstrate the following personal attributes:
  • Be honest, respectful, and trustworthy. Possess cultural awareness and sensitivity. Be flexible. Demonstrate sound work ethics. Possess dynamic personality. Must be looking for a stable and long-term career.


Experience :8-10 years in similar role
(Must be a CA OR MBA(Finance) OR US CPA (Pursuing/Completed)

Location : #remote

Apply below or share your resume at gayatri.bhayani@codvo.ai

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