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Manager – Site Finance Lead

New delhi
Posted on: 23 Aug 2021

Job details


  • NATURE OF JOB Hybrid — WFH / WFO / CW
  • CATEGORY Programming
  • SALARY RANGE Best in the industry Annual
  • EXPERIENCE 1 – 3 Years
  • JOB TYPE Full Time
  • REGIONAL PREFRENCES India
  • NO. OF VACANCIES 1

Job description


Site Head - Finance

The incumbent manages the finance, billing and accounting related activities for one or more sites in a region.

About Godrej Properties  

< u>< strong>Godrej Properties is among the fastest growing real estate companies in India, having grown by a CAGR of 20% by booking value in the last 5 years and earned the distinction of being the largest listed real estate developer in India for last two financial years (FY2018 and FY2019). We aim to accelerate this momentum further over next few years and are looking for motivated individuals to be a part of our growth story.

Godrej Properties has a unique Joint Venture based development model which helps us to keep an asset light balance sheet, thereby mitigating financial risks associated with a debt heavy structure, supports independent scale-up of local operations across various geographies and create a strong business development pipeline.

GPL has been consistently ranked amongst the top 2 places to work in the Real Estate segment in the “Great Places to Work” survey. We take much pride in fostering an inspiring workplace, with an agile and high performance culture. We are also deeply committed to recognising and valuing diversity across our teams. GPL brings the Godrej Group philosophy of innovation, sustainability and excellence to the real estate industry. Each development combines a 122–year legacy of excellence and trust with a commitment to cutting-edge design and technology. GPL has received 8 awards in Q1 FY19. Godrej Properties is currently developing residential, commercial and township projects spread across the country in 12 cities.

Our People Philosophy

Core to our employer brand, is the philosophy of tough love. We expect a lot from our team members, differentiate on the basis of performance and potential through career opportunities and rewards and lay particular emphasis on developing, mentoring and training. We believe that passionate, rounded individuals with diverse interests make for better Godrejites . And we understand that our team members play multi-faceted roles. This is why we encourage them, not just to explore their whole selves, but also create an enabling space for them to do so.

Watch ‘Why Godrej’ by Nadir Godrej, a video on our people philosophy.

https: www.youtube.com watch?v=RxiHCMR64Hs&feature=emb_logo

Read more abo ut our people philosophy here.

https: godrejcareers.com people-philosophy.aspx

Your Roles & Responsibilities
  • MIS Reports : For Sales, Contribution, Cash Flow, WIP, Customer Ageing, Collections, Operating Cash Flow, Interest Income, Mutual Fund, FD, Depreciation, PTD cash Flow, Capital Employed < li>
  • Completion of Monthly Closure work i.e. depreciation, interest, salary, WIP, IND AS and IGAAP PBT  < li>
  • Creation of Balance Sheet Profit and Loss Account Cash Flow Statement < li>
  • Preparation of Notes to Accounts for each of the entity < li>
  • Cash Flows Monitoring and Cash Flow Tracker preparation < li>
  • ICDS Tax Computation for advance tax < li>
  • ICDS Financials < li>
  • Quarterly Advance Tax Computation and Annual Tax Computation < li>
  • Participating and completing Tax Audit successfully < li>
  • Filing of TDS and TCS Returns < li>
  • Various Income Tax Assessment - Scrutiny Notice Reply details, Advance Tax Notices, Appeal Details, etc. < li>
  • Income Tax Return < li>
  • Processing Customer TDS entries on daily basis
    < li> < ul>Position Requirements

    Qualification: Qualified Chartered Accountant

    Experience: At least 5 years of relevant experience in any industry, real estate would be preferable

    Critical Skills
    < u>< strong>
    • Implementation of Accounting Standards : Able to apply deep understanding of IFRS and IND AS to ensure accurate compliance reporting of accounting and profits of the entity to the management and general public < li>
    • Treasury Management < li>
    • PBT & Cash Flow Management : Manage day-to-day cash flows for the project through daily monitoring, scenario planning and appropriately devising means to expedite inflows and reduce outflows < li>
    • Efficient  Taxation management < li>
    • Commercial Acumen : Able to understand,  evaluate and advise management on commercial decisions and make appropriate recommendations
      < li> < ul>Reporting Structure : Project Director - Meridien

      Job Location: Gurgaon < div>< body>< html>

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