•  Location:

    Mumbai / Navi Mumbai / Thane, India

  •  Salary:

    2.00 - 4.00 Lakh / Year

  •  Experience:

    2 - 6 Year

  •  Posted by:

    about 4 years ago

Company Profile

image

Tarang Exports Private Limited was established in the heart of India’s Business Hub, Mumbai more than a decade ago. 
Tarang Exports P Ltd Is an international trading company undertaking the entire gamut of activities being involved in Stocking, Trading, Importing, Exporting and Wholesaling of a wide range of commodities. We deal in products such as Bitumen (Asphalt), PVC Resin, Gypsum, Limestone, Coal, Cement Clinkers apart from Agro Commodities such as Sugar, Mapte and others. We supply the wide range of products to our various customers located across India. Our main objective is to provide highly tested and best quality products to our customers on time at the best possible prices. 

Accounts

at Tarang Exports Pvt Ltd as Fulltime

Job Description

  • Export monitoring and credit control, rich analysis of Tax is mandatory
  • Responsibility for timely Tax, Audit and statutory complience reporting and analysis of the financial performance of the company
  • Establishing and maintaining account file records according to professional perspective. Should be a part of department activities directly.
  • Work together with and coach the management team to ensure best possible financial performance of the company. Manage the commercial processes of the company in a manner which ensures
  • Transparency and integrity of the financial performance data
  • Integration with the  commercial processes
  • Proper monitoring and measurement of organization, processes and resources
  • Ensure continuous and consistant local measurement required from the process house
  • Being in a critical role, makes a contribution to the development of the mission, vision and strategy and aim of the organization:
  • Identify the levers driving the financial performance of the company
  • Ensuring transparency with respect to the margin performance on all projects / transactions
  • Coordinating the company planning process for forecasts, budgets, targets, and responsibility for the financial planning process
  • Responsibility for relationships with banks to ensure correct treasury management and cash availability for the necessities of the business
  • Ensure continuous and consistant local measurement required from the process house
  • Initiating and tracking of productivity improvement measures
  • Responsibility for the fulfillment of local commercial and tax requirements:
    • FEMA
    • Local commercial and tax income statements
    • Auditing (tax and financial statements)
    • VAT / Sales tax
    • Excise,Income Tax
    • Other requirements as appropriate
    • Maintaining the fixed assets register
    • Maintaining the general ledger
    • Maintaining the cost center structure
    • Manage processing of payroll / employee compensation transactions
    • Processing of transactions related to the sales
    • Definition of and co-ordination with all internal administrative processes

Key Skills

Share Job in Social Network