Job Description and Requirements
Key Responsibilities:
Perform annual Budgeting Exercise for each Company (as mgmt. decides)
Assist in preparation of Annual Budgets with Asset Management team for each property and compares the same with month wise P&L;for each property
Preparation of Cash flows forecasts for each company - with monthly tracker
Assist FD in implementation of IFRS and other regulatory reporting requirements wherever applicable
Reviewing Chart of Accounts (CoA) and GL structure as per industry practice and assisting FD to implement a standardized CoA and GL Coding and Reporting structure as per regulatory reporting standards in all Group entities
Restructuring the Expense accrual process, clearing the back log on Capex and expense allocation / booking process
Assist FD to put in a process to regularly monitor Loan Covenants for all banking relationships and
Sukuk covenants and planning to achieve compliance at each reporting period.
Take up the VAT task of reviewing the practices followed currently and assist FD for ensuring 100%
VAT compliance with an expert certification. Work towards automation of the VAT Returns with IT team
Assist FD to manage information flow to Banks on various financing facilities (new and existing)
Assisting FD in clearing the back log of all pending audits of the group companies
Any other task delegated by FD
The Candidate
Chartered Accountant or Certified Public Accountancy Qualification is a mandatory
A minimum of 8 years relevant experience in a similar role, preferably in an international environment
Membership of relevant professional association