Accounting Manager

Job Description

Skills:
Financial Reporting, Budgeting, Tax Compliance, Audit Preparation, Financial Analysis, Management, Forecasting, Risk Management,

Company Overview

Camilsons Group, based in Benaulim, Goa, is a dynamic hospitality company that manages a diverse portfolio of businesses including KAFMAR Environmental Services, Camilsons Textiles, and more. With 51-200 employees, we value personalized business relationships across individual, business, and government clientele. Learn more at camilsons.com.

Job Overview

We are seeking a qualified Accounting Manager to join our South Goa location. This mid-level, full-time position requires 4 to 6 years of work experience. The ideal candidate will play a key role in overseeing financial operations, ensuring accuracy and compliance with various financial standards.

Qualifications And Skills

  • Strong proficiency in budgeting is essential for preparing, analyzing, and maintaining financial plans to achieve our business goals.
  • Experience in financial analysis to interpret data effectively and drive strategic financial decisions within the company.
  • A solid foundation in management is required for leading and developing a finance team, including performance management.
  • Ability to forecast future financial trends based on the current landscape and historical data to aid business planning.
  • Must have a keen understanding of risk management principles to identify and mitigate financial risks within the organization.
  • Demonstrated expertise in financial reporting (Mandatory skill) to provide clear and actionable financial insights to stakeholders.
  • Strong grasp of tax compliance (Mandatory skill) to ensure adherence to governmental tax regulations and laws.
  • Audit preparation (Mandatory skill) experience to organize and facilitate financial audits efficiently and accurately.

Roles And Responsibilities

  • Oversee all financial operations and direct corporate financial planning and structure.
  • Coordinate and direct the preparation of the budget and financial forecasts, and report variances.
  • Ensure quality control over financial transactions and financial reporting.
  • Manage and comply with local, state, and federal government reporting requirements and tax filings.
  • Develop, implement, and ensure compliance with internal financial and accounting policies and procedures.
  • Prepare and publish timely monthly financial statements and coordinate the preparation of regulatory reporting.
  • Conduct financial modeling to predict financial consequences and prepare for potential business decisions.
  • Direct the management and maintenance of accurate pricing and costing data across different departments.