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Manager - Accounts

Mumbai

  • Organization: Chanrai Consultants
  • Location: Mumbai
  • Grade: Senior level - Senior - Internationally recruited position
  • Occupational Groups:
    • Managerial positions
  • Closing Date: 2023-05-18

JOB PROFILE – MANAGER -ACCOUNTS

Position: Manager Accounts

Reporting to: Director

Age: 35 to 45 years

Positions reporting: Executive Accounts

Location: Mumbai

Work time: Monday to Friday (9.30 am to 6 pm)

(Alternate Saturday working)

Education: Inter CA /CA + Legal Preferred

Experience: 10-15 years in Accounts

(Working experience in family office preferred)

Principal Accountabilities:

  • Accounts & Payroll
  • Taxes & Statutory work
  • Banking & Finance
  • Staff Related work
  • MIS & Other Reporting
  • Investment Support Service
  • Compliance
  • NRI related matters
  • Charity related matters

Duties and Responsibilities:

  • Checking bills/vouchers –Cheques and Cash, for proper accounting in Tally on daily basis.
  • Ensure approval of all Cash & Cheque payments of the entire group.
  • Signing of cheques of entities where POA / Mandate is registered & ensure timely payments to parties.
  • Ensure proper bank balances are maintained in all accounts (surplus should be invested.)
  • Accounting of Journal entries as and when applicable/ during Audit & Finalization.
  • To verify bank reconciliation (of Bank Accounts excl DLW & PC) on Quarterly basis, & check bank balances on regular basis.
  • Drafting letter, application forms & Co-ordination for opening/closing of Bank account (NRE/NRO/NRE-PIS/NROPIS/CA/SB), Demat account, PMS accounts, etc.
  • Verification of various documents, Draft Agreements, etc. (e.g. Information Service Fees, Debit notes , C.U. Partnership Deed, Rental agreement, Etc.)
  • Managing Bank & Investment Accounts of PC in Tally & Updating in excel as and when required.
  • Extending support activity to Director Finance for D.L.W exps, Investment activities & other banking requirements.
  • Ensuring timely salaries to office staff /drivers/maids at the month-end. Providing staff monthly salary slips (if reqd), verifying & providing TDS certificates at the year end.
  • Co-ordinate and getting Tally customized as per Companies requirement as and when reqd..
  • Maintenance of Fixed Assets Register in Tally (as per New Companies Act 2013) & also in Excel.
  • Preparation of audit working papers, supporting, schedules, etc and finalization of accounts.
  • Timely filing of returns of Company’s and individual accounts like Income Tax, E-TDS, RBI, Companies Act, etc.
  • Review of quarterly TDS data for e-filing of Company’s and individual accounts prepared by the CA, before the same are filed with the statutory authorities.
  • Preparation of draft Minutes of Companies for outside submission and for record maintenance.
  • Co-ordinating with the Company Secretary for quarterly minutes updation, E-filing of Annual Accounts/Returns/other returns of the Company & ROC compliances.
  • Statutory work related to Income–Tax, Company Law Matters, Wealth Tax, RBI, FEMA, NRI matters, etc.
  • Computation of Advance Taxes quarterly Companies.
  • Preparation of paper work for Scrutiny Assessments- Income Tax, Wealth Tax, P.F., Profession Tax , Reply to notices- MLWF, etc.
  • Timely compilation of statutory obligations, monthly payments of Taxes, P.F, Prof Tax, etc & its filing with the relevant authorities.
  • To draft letters/fill forms and provide details to CA / CS / RBI for allotments/transfer/conversion of Compulsory convertible debentures (CCD’s), Conversion of Pvt Ltd to LLP, trsf of exiting Equity Shares of Co, etc.
  • Co-ordinate with Consultants/Auditors/Management to assess whether new laws (like GST) are applicable to our entities & its registration if reqd.
  • Timely renewals of Lockers, DSC, subscriptions, AMC’s, club memberships, etc.
  • To interface regularly with the Bankers, Auditors and Consultants. (C.A., C.S, Lawyers, PF Consultants)
  • Submission of timely filing of returns through Authorized Dealers, Bankers, RBI, etc. (FORM FC-GPR / NRI Matters).
  • To comply for KYC, FATCA declarations, address change, etc. with bank, brokers, RBI, etc.
  • Providing details to HR to prepare Salary Register as per Shop & Est, providing Monthly Salary Slips (if reqd), Etc.
  • Computation of Total Income, Taxes etc of employees and documentation of declarations, Investments, etc.
  • Working on Salary break-up based on revised salary structures, tax documents provided by employees, F & F on termination/ resignation.
  • Compilation & Verification of Quarterly MIS cash flow, statement of Dividends received, Assets Verifications, Statutory compliance report, yearly/ half yearly Budgets, preparing of Actuals v/s Budget, etc.
  • Compilation of personal drawings, charities, investments, etc in the desired formats to management as and when required.
  • Providing quarterly statutory compliance Sheet to the reporting Head.
  • Providing details for Trade Name-Caring Capitalism as and when reqd.
  • Ensuring timely investments related to Purchase / Switch / Redemption of Shares, Mutual funds, Fixed Deposits,
  • FCNR Deposits, Forward contracts, etc. (Demat slips, MF forms/slips, Cheques,/contracts, Etc.)
  • Compilation of Monthly Investment sheet – Purchase, Switch, Sell, of Shares, Mutual Funds, FCNR Deposits, Fixed Deposits and updating month-endNAV, Exchange Rate, Market price, Dividends etc.
  • Coordinating with the Brokers, Distributors, PMS and their back office regarding Investment,payments, Statements, Forms, Ledgers, Reconciliations, etc
  • Ensuring timely transfer of funds from one bank to another for investments.
  • After the sale proceeds of MF/PMS/Shares to ensure timely outward remittance is done. (Form A2/Remittance letter/Outward Remit Form)
  • Ensure timely & correct Filling of Demat Slips/Application Forms/Chqs/ and Updating it in Tally
  • Verifying after Investments is done - With Demat Statements & MF Stmts.
  • Updating Funds Deployed Sheet (excel) for every investment transaction done (From Contracts/Statements), Buy, Sell, Switch, Redemption, FCNR, Forward Contracts, etc.
  • Verifying Capital Gains Working for Tax (In excel + Tally) (LT/ST/Indexation).
  • Verifying funds deployed sheet with Bloomberg data with Research Team regularly.
  • PMS Investments (Documentation/ Updation / Statements) (CCPL/BJC)
  • O/D for Investments (Documentation/ Updation/Statements) (CCPL)

Contact information:

Alpa Lamuuel
122, Maker Chambers VI, 220, Jamnalal Bajaj Marg,
Nariman Point,Mumbai 400021
Direct Line: +91-22-61738914

We do our best to provide you the most accurate info, but closing dates may be wrong on our site. Please check on the recruiting organization's page for the exact info. Candidates are responsible for complying with deadlines and are encouraged to submit applications well ahead.
Before applying, please make sure that you have read the requirements for the position and that you qualify.
Applications from non-qualifying applicants will most likely be discarded by the recruiting manager.

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