About the job
Company Overview
Cotton Concepts (CC) specializes in the manufacture of high-quality home textile products including Recycle Cotton, Organic Cotton, and other sustainable fibers. With a workforce of 201-500 employees, the company is renowned for its unique approach to product development, design, and manufacturing, all while prioritizing sustainability. Headquartered in Coimbatore, Tamil Nadu, Cotton Concepts operates within the Home Textiles industry.
Job Overview
We are seeking a dedicated Accounts professional for our home textile operations in Karur. This is a full-time, mid-level position demanding 3-6 years of relevant experience. The ideal candidate will play an integral role in financial operations, ensuring accuracy and compliance within the organization.
Qualifications and Skills
- Proven experience in financial reporting, ensuring the company's financial statements are accurate and comply with regulations (Mandatory skill).
- Efficient in Book Keeping, Purchase, Sales, E-way Bill entries is mandatory.
- Strong working experience in Tally is required.
- Handled Petty Cash is mandatory.
- Strong understanding of tax compliance, ensuring all financial protocols adhere to statutory regulations (Mandatory skill).
- Adept in cash flow management to maintain adequate profit by tracking the company's revenue and expenses efficiently.
- Knowledgeable in TDS, TAX, and GST filing, keeping the organization in compliance with government regulations.
- Proficient in costing and budgeting, providing critical insights into financial planning and cost analysis.
- Experience in finance management, exhibiting a strong grasp in monitoring financial operations and administration.
- Capable in finance analytical tasks, with the ability to produce reports and data analysis to support fiscal decision-making.
Roles and Responsibilities:
- Manage financial reporting systems to ensure accuracy and compliance with industry standards.
- Responsible for inventory management, ensuring efficient utilization and inventory control.
- Oversee E-way bills, Book keeping, Purchases and Sales
- Maintain effective cash flow management to enhance financial stability of the company.
- Handle TDS, TAX, and GST filings, providing timely and accurate submissions.
- Conduct costing and budgeting processes, offering insights to streamline spending and optimize investments.
- Prepare financial analyses and reports to support strategic planning and policy development.
- Monitor and manage petty cash accounts, producing reports to maintain financial transparency.