About this role
Role Summary: Manage treasury, taxation, fixed assets, and finance operations to ensure compliance and efficient financial control. Key Responsibilities: Treasury: Cash flow tracking, BG/FD management, bank compliance (stock statements, DP, covenants), LEI & banking coordination Taxation: GST (ITC review, filings, notices), support in direct tax & LDC Fixed Assets: CWIP tracking, asset capitalization, disposal & project accounting Operations: Employee reimbursement audit, vendor payments, foreign remittances (Form 15CA), month-end entries Compliance & Reporting: MSME returns, audit support, daily bank reporting Requirements: B.Com / M.Com / MBA (Finance) – CA Proficiency in MS Excel & ERP systems