Financial Analyst
- Category: Accountant Jobs
- Location: Mumbai, Maharashtra
- Job Type: Full Time / Part Time
- Salary: Estimated: $ 24K to 26K
- Published on: 2025/09/21
Description
• Ensuring projects are set up correctly in the system as per company guidelines.
• Assist the Global Practice projects team in reviewing projects
• Ensuring projects are approvals are done on a timely basis
• Ensuring project documentation is correctly taken by the PM team before submitting the project
• Assisting GP and PM group in computing the business plan
• Review contracts, project financials and project health and interpret financial implications and report them to the management and the Finance Lead
• Reviewing Budget vs Actual performance and reporting variances to the management and the Finance Lead
• Reviewing project forecasting and project maintenance
• Ensuring Invoicing of project hours & expenses are done within the company TAT
• Reviewing aged invoicing and reporting findings
• Providing automated solutions to resolve issues
• Identifying control points to promote best practice
• Assisting in Strategy planning for the Global practice
• Interactions with key stakeholders in the business to understand challenges and opportunities
• Imparting financial knowledge to the project group. Conducting various training sessions
• Reporting to the Finance lead on findings/challenges and issues within the Global Practice
Related jobs
-
Accountant
Responsible for Maintaining Clients Accounts, Transaction Records, GST filling , TDS Preparing Balance Sheet Reports. Bank Reconciliation Job Type: Full-time Pay: ₹18,000.00 - ₹25,000.00 per month Schedule: Day shift Work Location: In person
-
Admin |amp| Account Assistant
Rev. C.F. Andrews High School in Santacruz East, Mumbai is seeking experienced Admin & Account Assistant (B.Com/M.Com) with a minimum of 2 years in a State board school. Please contact us at ++1-XXXXXXXXXX. Job Profile : 1) Accounts Knowledge 2) ...
-
Sr| Accounts Executive
Job Description: Perform daily, weekly, and monthly reconciliations of transactions from multiple payment gateways. Identify and resolve discrepancies between payment gateway reports and the company’s financial records. Assist in the preparation and ...