This role is for one of the Weekday's clients
Who We’re Looking For
- Recently qualified Chartered Accountant (CA) or finance professional with 2-4 years of experience in accounting and financial management.
- Strong understanding of financial compliance, tax regulations, and corporate finance principles.
- Proficiency in Tally, Excel, and digital financial platforms for efficient financial reporting and management.
- Up-to-date knowledge of foreign remittance regulations and experience handling multi-currency transactions.
- Hands-on experience with payroll processing, tax deductions (TDS, PF), and compliance filings.
- Excellent English communication skills for collaboration with internal teams and external financial institutions.
- Proactive mindset with a keen interest in financial research, budgeting, and tax structures.
Key Responsibilities
Financial Management & Accounting
- Oversee day-to-day financial operations, including bookkeeping, reconciliations, and transaction processing.
- Maintain accurate financial records while ensuring compliance with tax and regulatory requirements.
- Manage accounts payable and receivable, ensuring timely payments and collections.
Foreign Remittance & Compliance
- Handle international transactions and ensure adherence to cross-border financial regulations.
- Collaborate with banks and financial institutions to facilitate smooth global transactions.
- Stay updated on evolving international payment structures and taxation policies.
Payroll & Employee Compensation
- Oversee payroll processing, salary disbursement, and tax deductions.
- Ensure compliance with PF, TDS, and other statutory deductions.
- Maintain accurate payroll records and resolve financial discrepancies.
Budgeting, Forecasting & Reporting
- Prepare financial reports, budgets, and cash flow projections for strategic decision-making.
- Develop and maintain financial forecasting models to improve financial planning.
- Identify cost-saving strategies and optimize overall financial efficiency.
Invoicing & Financial Documentation
- Manage client invoicing, vendor payments, and financial documentation.
- Ensure GST compliance, taxation accuracy, and proper billing processes.
- Maintain financial dashboards and reports in Excel for performance tracking.
Must-Have Skills
- Recently qualified CA or finance professional with 2-4 years of relevant experience.
- Strong knowledge of foreign remittances, multi-currency transactions, and international financial regulations.
- Proficiency in Tally, Excel, and financial reporting tools.
- Expertise in payroll processing, tax compliance (GST, TDS, statutory deductions), and regulatory filings.
- Up-to-date knowledge of financial formats, budgeting techniques, and tax regulations.
- Strong English communication skills for financial discussions and cross-functional collaboration.
- Familiarity with digital finance platforms, automation tools, and cloud-based accounting software.
- Proactive approach to financial research, compliance updates, and continuous learning.
Preferred Skills
- Experience managing multi-currency transactions and international payments.
- Strong knowledge of financial compliance, GST, TDS, and taxation laws.
- Hands-on experience with cloud-based financial tools and automation platforms.
- Analytical mindset with the ability to interpret financial data and provide strategic insights.
The biggest risk is not taking any risk.
“Mark Zuckerberg”