Website:
bindz.in
Job details:
Roles & Responsibilities
Compliance & Regulatory Management:
- Ensure end-to-end statutory compliance including TDS, GST, PF, PT, ESI, and Income Tax
- Lead timely and accurate filing of returns (GST, TDS, advance tax, etc.)
- Perform complex GST reconciliations and resolve discrepancies proactively
- Monitor statutory due dates and ensure zero non-compliance
- Prepare and track monthly statutory dues forecasts
- Handle STPI/NSTPI compliances (MPR/Softex filings)
- Ensure adherence to labor law compliances.
- Independently manage statutory and internal audits, including handling queries
- Continuously track and implement regulatory updates
Treasury & Cash Flow Management:
- Lead cash flow planning, forecasting, and liquidity management
- Oversee banking operations, fund movements, and reconciliations
- Review and approve bank upload files for payments
- Optimize working capital and fund utilization
- Ensure effective receivables and payables management
- Manage intercompany transactions and treasury controls
- Strengthening treasury risk management practices
Financial Operations & Controls:
- Supervise end-to-end accounting operations
- Conduct detailed ledger scrutiny and reconciliations
- Review accruals, provisions, fixed assets, and financial entries
- Ensure strong documentation, audit trails, and internal controls
- Drive improvements in financial processes and compliance systems
Invoicing & Revenue Compliance:
- Oversee invoicing for export of service
- Ensure compliance with tax regulations and documentation standards
Payroll & Compliance Support:
- Review payroll processing, statutory deductions, and compliance accuracy.
Strategic & Operational Support:
- Strengthen compliance frameworks and treasury efficiency
- Drive automation, process optimization, and control enhancements
- Support financial decision-making through data and insights
Team & Stakeholder Collaboration:
- Collaborate with auditors, consultants, banks, and internal teams
- Act as a key point of contact for compliance and treasury matters
Technical Skills (Core Focus):
- Good knowledge of GST, TDS, Income Tax, and Indian statutory regulations
- Good knowledge in IND AS/ IFRS and US GAAP
- Strong hands-on experience in treasury management, cash flow forecasting, and fund management
- Deep understanding of financial controls, audit processes, and compliance frameworks
- Good knowledge of Microsoft Excel and financial reporting tools
- Experience with ERP/accounting systems (such as Tally, Zoho Books, SAP, Oracle, or similar)
- Strong analytical skills with ability to interpret financial data and identify risks
- Experience in handling audits (statutory, internal, and tax audits) independently
- Knowledge of FEMA regulations, export compliance, and intercompany accounting preferred
Key Deliverables
- High attention to detail with strong compliance mindset
- Ability to manage multiple deadlines and priorities
- Strong problem-solving and analytical thinking
- Effective communication and stakeholder management
- Proactive, ownership-driven, and result-oriented approach
Skills & Qualifications
- Chartered Accountant (CA) with 7–8 years of post-qualification experience
- Mandatory 4-5 years of hand-on experience in US GAAP
- Strong and proven expertise in statutory compliance, treasury operations, financial controls, and regulatory frameworks
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