مانوج كومار, Finance Manager

مانوج كومار

Finance Manager

RGM International (India) Private Limited

البلد
الهند - كولكاتا
التعليم
بكالوريوس, Finance
الخبرات
17 years, 9 أشهر

مشاركة سيرتي الذاتية

حظر المستخدم


الخبرة العملية

مجموع سنوات الخبرة :17 years, 9 أشهر

Finance Manager في RGM International (India) Private Limited
  • الهند - كولكاتا
  • أشغل هذه الوظيفة منذ أغسطس 2015

 Financial Control & Analysis

• Preparation of Standalone Financials of Group Companies.
• Preparation of Consolidated Financial Statement of the Group.
• Preparing of Fixed Assets Register and calculation of Depreciation.
• Administering all books of accounts, daily cash book, bank book, stock registers, and other subsidiary ledgers.
• Inter Company and Inter Branch ledger Reconciliation and passing of necessary Journal Vouchers.
• Provision of monthly expenses for purpose of monthly accounts closing.
• Authorisation of Vouchers.
• Statutory Audit & Internal Audit: Independently handled statutory audit assignments of the company.

 Finance & Treasury Management:
• Monitoring bank transactions and Bank Reconciliation Statements to avoid discrepancies.
• Liaising with Banking Company for project finance arrangement.
• Arrangement of Bid Bond, Performance Guarantee and Advance Payment Guarantee for projects & Tenders.
• Preparation of CMA report on monthly basis and submission with Financial Institution.
• Interbank and Inter Company fund transfer as per requirement.
• Preparing periodical cash flow, fund flow related statements.
• Managing Cash and Bank transactions.

 Accounts Receivable/ Debtors Management:
• Invoicing to debtors (Preparation of project running bills).
• Handling all function of Accounts Receivables like Preparing and following up of bills receivables after invoicing to debtors.
• Conducting ageing analysis with an aim to keep receivables under control.
• Verifying and Issuing Credit Notes.
• Documentation & reconciliation of all Form 16-A (TDS Certificates) which are collected from debtors.
• Monitoring Sales Collections and Corresponding with banks for quick recovery of the Collections

 Accounts Payable/ Sub-Contractor Management:
• Handling all payable tasks related to Services and cost.
• Conducting verification of Job work, Purchase and Service vendors invoice & payments including foreign remittances.
• Sub-Contractor Ledger Reconciliation.
• Vendor Ledger Reconciliation.
• Creditor ageing analysis.
• Making payment as per credit terms and statutory norms.

 Advance Management Accounting:
• Preparation of monthly project Cost Statement.
• Cost Vs. Revenue Ledger Reconciliation.
• Preparation of Budget for entire company.
• Monthly Budget Vs. Actual analysis and concluding reasons of adverse variances.

Assistant Manager Finance & Accounts في Holy Faith International (India) Private Limited
  • الهند - دلهي
  • أغسطس 2012 إلى نوفمبر 2014

 Financial Control & Analysis

• Preparation of Standalone Financials of Group Companies.
• Preparation of Consolidated Financial Statement of the Group.
• Preparing of Fixed Assets Register and calculation of Depreciation.
• Administering all books of accounts, daily cash book, bank book, stock registers, and other subsidiary ledgers.
• Inter Company and Inter Branch ledger Reconciliation and passing of necessary Journal Vouchers.
• Provision of monthly expenses for purpose of monthly accounts closing.
• Authorisation of Vouchers.
• Statutory Audit & Internal Audit: Independently handled statutory audit assignments of the company.

 Finance & Treasury Management:
• Monitoring bank transactions and Bank Reconciliation Statements to avoid discrepancies.
• Liaising with Banking Company for project finance arrangement.
• Arrangement of Bid Bond, Performance Guarantee and Advance Payment Guarantee for projects & Tenders.
• Preparation of CMA report on monthly basis and submission with Financial Institution.
• Interbank and Inter Company fund transfer as per requirement.
• Preparing periodical cash flow, fund flow related statements.
• Managing Cash and Bank transactions.

 Accounts Receivable/ Debtors Management:
• Invoicing to debtors (Preparation of project running bills).
• Handling all function of Accounts Receivables like Preparing and following up of bills receivables after invoicing to debtors.
• Conducting ageing analysis with an aim to keep receivables under control.
• Verifying and Issuing Credit Notes.
• Documentation & reconciliation of all Form 16-A (TDS Certificates) which are collected from debtors.
• Monitoring Sales Collections and Corresponding with banks for quick recovery of the Collections

 Accounts Payable/ Sub-Contractor Management:
• Handling all payable tasks related to Services and cost.
• Conducting verification of Job work, Purchase and Service vendors invoice & payments including foreign remittances.
• Sub-Contractor Ledger Reconciliation.
• Vendor Ledger Reconciliation.
• Creditor ageing analysis.
• Making payment as per credit terms and statutory norms.

 Advance Management Accounting:
• Preparation of monthly project Cost Statement.
• Cost Vs. Revenue Ledger Reconciliation.
• Preparation of Budget for entire company.
• Monthly Budget Vs. Actual analysis and concluding reasons of adverse variances.

Audit Executive في L.B. Jha & Co. Chartered Accountants
  • الهند - دلهي
  • أكتوبر 2007 إلى أبريل 2011

Internal Audit: Conducted internal audit as a team leader:
• Span Air Pvt. Ltd.,
• Span Motels Pvt. Ltd.
• Hotel Tree House (Bhiwani, Rajasthan)
• Institute of Management Technology (CDL), Ghaziabad
• Bajaj Hindustan Ltd. (Mujaffarnagar),
• Prism Cement Ltd. (RMC Ready mix)
• Power Transmission Corporation of Uttarakhand Ltd.
• Balmer Lawrie & Co. Ltd. (Tour & Travels Division and Logistics Division)

Statutory Audit and Tax Audit: Conducted Statutory Audit as a team member
• Components & Equipment Ltd., Chandigarh
• ICRA Management consultancy services,
• Vipul Ltd., Gurgaon
• Indian Statistical Institute, New Delhi
• Druk Air (Royal Bhutan Airlines)
• Classic Furniture, Faridabad
• CIMMCO Ltd., Bharatpur

Bank Audit & Due Diligence:
• Conducted Statutory Audit of Bank of India.
• Conducted due diligence of NPA of various nationalized banks on behalf of asset reconstruction companies.

Accounts Assistant في Larsen & Toubro Limited
  • الهند
  • يونيو 2004 إلى مايو 2007

 Accounts Receivable/ Debtors Management:
• Invoicing to debtors (Preparation of project running bills).
• Handling all function of Accounts Receivables like Preparing and following up of bills receivables after invoicing to debtors.
• Conducting ageing analysis with an aim to keep receivables under control.
• Verifying and Issuing Credit Notes.
• Documentation & reconciliation of all Form 16-A (TDS Certificates) which are collected from debtors.
• Monitoring Sales Collections and Corresponding with banks for quick recovery of the Collections

 Accounts Payable/ Sub-Contractor Management:
• Handling all payable tasks related to Services and cost.
• Conducting verification of Job work, Purchase and Service vendors invoice & payments including foreign remittances.
• Sub-Contractor Ledger Reconciliation.
• Vendor Ledger Reconciliation.
• Creditor ageing analysis.
• Making payment as per credit terms and statutory norms.

 Advance Management Accounting:
• Preparation of monthly project Cost Statement.
• Cost Vs. Revenue Ledger Reconciliation.
• Preparation of Budget for entire company.
• Monthly Budget Vs. Actual analysis and concluding reasons of adverse variances.

 Payroll Accounting:
• Supervising Payroll processing of the company.
• Payroll process like salary, PF, ESI, Bonus, employee’s reimbursements and Full & Final settlement of left employees.
• Supervise the accurate and timely payment of all staff salaries and expenses, making the appropriate statutory deductions.
• Processing of salaries, Provident Fund, Employees State Insurance Scheme, TDS, related to Payroll.

 Statutory Compliances:
• Ensuring statutory compliance with respect to remittance of all kinds of tax dues, periodic filling of returns and complete tax assessment.
• TDS: - Calculation of TDS, Making of TDS payment and filing Quarterly Return.

الخلفية التعليمية

بكالوريوس, Finance
  • في Institute of Chartered Accountants of India
  • نوفمبر 2010
بكالوريوس, Accountancy
  • في Calcutta Univercity
  • أبريل 2004

Specialties & Skills

Accounting
Finance
Payroll
National Account Management
Accounts Payable
Treasury Management
Budgeting
Taxation
Accounts Receivable
Cost Statement
General Ledger Administration
Project Finance
Finalisation of Books

اللغات

الانجليزية
متمرّس
البنغالي
متمرّس
الهندية
اللغة الأم