Manager-Accounts & Finance at Tata Realty and Infrastructure Limited
Mumbai, maharashtra, India -
Full Time


Start Date

Immediate

Expiry Date

07 Sep, 26

Salary

0.0

Posted On

09 Jun, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cost Control, Financial Planning, Budgeting, P&L Management, Cash Flow Management, Statutory Audit, RERA Reporting, Internal Controls, Financial Reporting, Working Capital Optimization, Business Case Analysis, Consolidation of Accounts, MIS Reporting, IFC Framework, Investor Relations, Contract Review

Industry

Real Estate

Description
Cost Control and Monitoring • Partner with other departments and coordinate with Corporate finance to facilitate the annual planning process ensuring organisation’s interests are kept in mind • Provide financial and cost review based on actual / budgets / commitments with regional head of departments, to identify, measure and monitor actions to control cost and to improve profitability and liquidity situation • Provide reports for regional management undertaking a comparative profitability study and providing project wise comparisons on productivity, costs etc. Participate in Budget and Operational reviews as the brand/segment representative critically examining alignment of annual budgets vis a vis the brand/segment strategy • Monitor project performance throughout implementation and provide periodic reports in this respect • Monitor and track the status of working capital and undertake measures to optimise the same Business Plan, Business case analysis, financial review of contracts and agreement • Coordinate with business team in developing finance budget AOP/AEP and monitoring progress. • Review of contracts / agreements from a financial perspective • Work closely with Business Head in managing P&L and cash flow of the region in alignment with Corporate goal Planning and automation • Evaluate peripheral systems from a financial perspective to ensure that correct processes are followed, and accounting / audit trail is possible. • Establish internal controls in the organisation through implementation of robust business processes and automation of financial processes at site         Business Support • Investor relations - work with Investor relations teams for providing information financial results where there is a JV partner. Accounts and Audit : • Ensure maintenance of books of accounts as per rules, regulation and standards • Managing consolidation of accounts • Monitoring & scrutiny of Corporate Accounts • Preparation of monthly financials for MIS and Quarterly Results for Audit/LR • Completion of Statutory Audit within the timeline • RERA reporting within timelines including CA certification • Understand and adhere to the IFC framework relating to finance. • Liaison with internal audit function/ auditors  Developmental • Keep abreast with updates on regulatory and statutory changes and guidelines, specifically local regulations around real estate development  • Continuously update knowledge and keep abreast of changing trends and guidelines Internal & External Interactions Internal: CFO, Corporate Financial controller, Shared Services, Treasury, Functional Heads, Business Heads and Regional teams External: Investors, Consultants, Vendors  
Responsibilities
The role is responsible for formulating financial strategies, monitoring costs, and managing cash flow for ongoing projects and new deals. It involves overseeing statutory audits, RERA reporting, and coordinating with corporate finance for annual planning and budgeting.
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