plastemartjobs.com Email: jobs@plastemart.com, hr@plastemart.com Download Date: 4/3/2025 3:51:03 PM ________________________________________________________________________________________ RefNo: CA - 36603 Gender: Male Age: 37 Designation: Head of Finance Accounts & Taxation. Highest Education Level: Post Graduate Diploma Preferred Location: Thane Education Details: C.A. - 2015. EMBA: Business Strategy and Planning 2015 Certified Finance Modeller B. Com. - 2009 Mumbai University, Mumbai. Skill Sets: SAP FICO Module, Tally ERP Accounting Software, MS Dynamics, MS Office, Internet Applications, Busywinn, E Adamas, Work Experience: 18.5 Work Experience Details: Head of Finance Accounts & Taxation. From - Mar 2022 to till date Company Profile - Manufacturer of Dyes Intermediates, Super Specialty Chemicals and Industrial Grade Solvex, Metal Trading, Power Generation & Realty Development) Job profile - Preparation of all financial statements like Profit and Loss account and Balance Sheets with all schedules along with quantitative data for Income Tax and Commercial Tax Authorities. Negotiate & liaise with banks and financial institutions for raising fund and non-fund based facilities at favorable terms to meet working capital requirements. Conducting Internal audits for evaluating internal control systems/ procedures with a view to highlight the shortcomings and implementing necessary recommendations. Liaise with Government Departments for Refunds of taxes and Other Scrutiny Assessment Matters ( Income Tax, Service Tax, VAT & GST) Budgeting and Variance Analysis Preparation and filing of GST Returns for all the companies under Group Companies Data Validation, Collection and Analysis and Converting the same in to meaningful Data Due diligence for Investments in the Companies or NBFC for Cash flow and Fund flow Analysis, SOP Implementation and Preparation for LLPs and Partnership Firms Owned by the Parent Company. Liaison with all Units regarding Cash flow & Fund Flow requirement of various Segments of the Group. Generate Monthly MIS reports periodically for managements review on various financial parameters to gauge the functioning of the organization. Monitor the funds flow and cash flow statements to review the inflow & outflow of funds & ensure optimum utilization of available funds to accomplish organizational goals. Provide Management with various Business Strategy to Divest or Invest in Other Sectors through Market Review Reports. Provide Management with the updates on Various Tax Laws and their implications on the business with providing them with planning to manage the same. Providing management with the insight of the Operating Profits of the Parent and Group Companies with the strategies to improve the same for Banking Compliance. Managing Statutory Auditors queries for Audit of Parent and Sister Concerns for finalization of accounts as per Income tax Act and Companies Act. Manage the team while delegating work, updating them with latest trends & techniques in the process as well as training them for the improvements in work. Senior Manager FP&A, Audits and Direct Indirect Tax From - June 2018 to Jan 2021 Company profile - Charted accounting firm Job Profile - Preparation of all financial statements like Profit and Loss account and Balance Sheets with all schedules along with quantitative data for Income Tax and Commercial Tax Authorities. Negotiate & liaise with banks and financial institutions for raising fund and non-fund based facilities at favorable terms to meet working capital requirements. Conducting Internal audits for evaluating internal control systems/ procedures with a view to highlight the shortcomings and implementing necessary recommendations. Liaise with Government Departments for Refunds of taxes ( Service Tax, VAT & GST) Budgeting and Variance Analysis Preparation and filing of GST Returns for all the companies under Group Companies Being a Virtual CFO for Companies Outside India for Managing there businesses as well in India Startup Services from Incorporation Fund Acquisition till Business Setup. Data Validation, Collection and Analysis and Converting the same in to meaningful Data Due diligence for Investors or Value Unlocking of the Company GST Implementation from old VAT. Cash flow and Fund flow Analysis, Implementation of Accounting Software to SAP or ERP. SOP Implementation and Preparation Liaison with all Units regarding Cash flow & Fund Flow requirement of various clients. Generate Monthly MIS reports periodically for managements review on various financial parameters to gauge the functioning of the organization. Monitor the funds flow and cash flow statements to review the inflow & outflow of funds & ensure optimum utilization of available funds to accomplish organizational goals. Manage the team while delegating work, updating them with latest trends & techniques in the process as well as training them for the improvements in work. Finance & Accounts Manager From - Jan 2013 Feb 2018 Company Profile - M/S Shreepati Group Audit Manager From - Mar 2007 to Dec 2012 Company Profile - M/S G L Deopura & Company Chartered Accountants Article Assistant Audit Manager From - Jan 2006 Feb 2007 Company Profile - M/S Shambhu Gupta & CO, Chartered Accountants ________________________________________________________________________________________