IPDigital LLC
Website:
ipdigitalllc.com
Job details:
Position: Finance Analyst
Finance Analyst, responsible for overseeing the organization's financial operations, including accounting, financial reporting, payroll, MIS reporting, budgeting, statutory compliance, taxation, cash flow management, and financial planning. The role ensures financial accuracy, regulatory compliance, and provides strategic financial insights to support business growth.
Key Responsibilities
Financial Accounting & Reporting
- Manage end-to-end accounting operations and ensure accurate financial records.
- Prepare monthly, quarterly, and annual financial statements.
- Monitor the general ledger, journal entries, and account reconciliations.
- Ensure compliance with applicable accounting standards and internal financial controls.
Payroll Management
- Oversee end-to-end payroll processing, ensuring timely and accurate salary disbursement.
- Review payroll inputs, statutory deductions, reimbursements, bonuses, incentives, and full & final settlements.
- Ensure compliance with PF, ESI, Professional Tax, TDS, Labour Laws, and other statutory requirements.
- Coordinate with the HR team for payroll-related activities and employee compensation matters.
MIS & Financial Analysis
- Prepare and present daily, weekly, and monthly MIS reports for senior management.
- Analyze financial performance, profitability, costs, and operational KPIs.
- Develop dashboards and reports to support business decision-making.
- Conduct variance analysis and recommend corrective actions.
Budgeting & Financial Planning
- Lead annual budgeting and periodic forecasting exercises.
- Monitor budget utilization and control operating expenses.
- Prepare financial models and business projections.
- Support management with strategic financial planning and investment decisions.
Revenue & Project Finance
- Monitor project budgets, costs, and profitability.
- Manage client billing, revenue recognition, and contract financial compliance.
- Track project financial performance and recommend corrective actions where necessary.
- Support pricing decisions and commercial contract reviews.
Taxation & Statutory Compliance
- Ensure timely filing of GST, TDS, Income Tax, and other statutory returns.
- Coordinate with external auditors, tax consultants, and regulatory authorities.
- Ensure compliance with corporate, financial, and legal regulations.
Treasury & Cash Flow Management
- Manage working capital, cash flow, and banking operations.
- Monitor fund utilization and optimize liquidity.
- Review vendor payments, customer collections, and credit control.
Business Partnering
- Collaborate with delivery, sales, HR, procurement, and operations teams to improve financial performance.
- Provide financial insights to support business growth and operational efficiency.
- Identify opportunities for cost optimization and process improvements.
Required Skills
- Strong knowledge of Accounting, Corporate Finance, Taxation, Payroll, MIS, Budgeting, and Financial Planning.
- Expertise in GST, TDS, PF, ESI, Professional Tax, and statutory compliance.
- Advanced proficiency in Microsoft Excel, including Pivot Tables, Power Query, dashboards, and financial analysis.
- Hands-on experience with ERP systems such as SAP, ZOHO, Oracle, Microsoft Dynamics, Tally Prime, or similar finance software.
- Excellent analytical, leadership, communication, and problem-solving skills.
Qualifications
- Bachelor's degree in Commerce, Finance, or Accounting (B.Com).
- MBA (Finance), M.Com, CA Inter/Qualified, CMA, or equivalent professional qualification preferred.
Experience
- 6–8 years of relevant experience in Finance, Corporate Finance - Accounting, Payroll, MIS, Budgeting, and Statutory Compliance.
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