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Lead end-to-end financial management for the site, including budgeting, forecasting, fund flow planning, and financial reporting.
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Ensure accurate and timely accounting of all site-related financial transactions in line with company policies and statutory norms.
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Manage accounts payable and receivable processes, including vendor payments, employee reimbursements, billing, and collections.
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Ensure strict compliance with all applicable taxation laws (GST, TDS, etc.) and oversee timely filing of returns and remittances.
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Monitor and control site budgets, analyze variances, and initiate corrective actions in collaboration with project and procurement teams.
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Establish, monitor, and enhance internal financial controls at the site level; ensure audit readiness and timely closure of audit observations.
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