Plus Max Group of Companies | Finance Accounting Manager

13 hours ago


tamil nadu, India Plus Max Group of Companies Full time
Job description
Job Title: Finance and Accounts Manager
Industry: Wholesale Alcoholic Beverages, Import & Export, Duty Free, Manufacturing, Education, Oil and Gas, Construction, Manufacturing, and Information Technology.
Employment Type : Full-time
No of Vacancy: 02
Company: Plus Max Group of Companies
Location: Plus Max Farm House, Poolambadi, Perambalur (Dt), Tamil Nadu.
Salary: Industry Standard (Based on their Knowledge & Experience)
About Us
Plus Max Group of Companies is a prominent organization with over 20 years of excellence in the wholesale import/export industry, operating across various countries, including Malaysia, Singapore, Australia, the UAE, Thailand, and the UK. The company also boasts a strong presence in the duty-free sector, managing over 20 outlets at airports, seaports, and land ports in India, Malaysia, Hong Kong, and Rwanda. Additionally, we have established a significant footprint in diverse industries such as Education, Oil and Gas, Construction, Manufacturing, and Information Technology.
Job Description
We are seeking a highly skilled Finance and Accounts Manager to oversee our financial operations and ensure our organization’s financial health. This role requires a dynamic professional with strong analytical skills, attention to detail, and the ability to manage complex financial systems and processes with managing more than 20-30 peoples reporting designation in the previous experience. And also have the experience to handled more the 500 crore turnover industry finance(Wholesale/Retail).
Key Responsibilities
Financial Management
• Financial Planning and Budgeting: Develop and implement financial plans, budgets, and forecasts.
• Financial Reporting: Prepare and present financial reports, including balance sheets, income statements, and cash flow statements.
• Financial Analysis: Analyse financial data to identify trends, risks, and opportunities.
Accounting and Compliance
• Accounting Operations: Oversee daily accounting activities, including accounts payable, accounts receivable, and payroll.
• Financial Statements: Prepare and review financial statements, ensuring compliance with accounting standards and regulatory requirements.
• Tax Compliance: Ensure compliance with tax laws and regulations, including filing tax returns and paying taxes.
Risk Management and Internal Controls
• Risk Assessment: Identify and assess financial risks, implementing mitigation strategies as needed.
• Internal Controls: Develop and maintain internal controls to ensure the accuracy, completeness, and integrity of financial data.
Audit and Compliance:
• Monthly should analyze, review and submit the internal audit report to the management.
• Coordinate with external auditors and ensure compliance with regulatory requirements.
• Ensure that taxes such as GST, Income Tax, and other state taxes are properly accounted for and paid.
• Oversee the preparation of tax returns and the proper filing of these returns.
• Work with auditors to ensure the organization’s tax compliance is thoroughly reviewed.
Leadership and Team Management
• Team Leadership: Lead and manage a team of accounting and finance professionals, providing guidance and support.
• Training and Development: Identify training needs and develop programs to enhance team members' skills and knowledge.
• Performance Management: Evaluate team members' performance, providing feedback and coaching to improve performance.
Strategic Planning and Advisory
• Strategic Planning: Participate in strategic planning, providing financial insights and guidance.
• Financial Advisory: Provide financial guidance and advice to senior management and other stakeholders.
• Special Projects: Lead or participate in special projects, such as financial system implementations or process improvements.
General Responsibilities
• Prepare, analyze, and present financial statements and reports.
• Oversee budgeting, forecasting, and financial planning processes.
• Manage accounts payable and receivable, ensuring timely reconciliation.
• Ensure compliance with tax regulations, audits, and internal financial policies.
• Develop and implement financial strategies to optimize resources.
• Collaborate with department heads to support organizational goals.
• Supervise and mentor finance and accounts team members.
Requirements
• Master degree in Accounting, Finance, or a related field
• 7 + years of strong experience in finance and accounting roles.
• Ensure that taxes such as GST, Income Tax, and other state taxes are properly accounted for and paid.
• In Forex currency handling experience.
• Proficiency in financial software (e.g., Tally, SAP, QuickBooks, or similar).
• Strong understanding of financial regulations and practices.
• Excellent leadership, organizational, and communication skills.
• Ability to analyse complex financial data and present actionable insights.
What We Offer
• Competitive salary and benefits package.
• Opportunities for professional growth and development.
• A collaborative and inclusive work environment.
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