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HomeCompaniesVSC INTERNATIONAL PRIVATE LIMITEDFinance Executive Ireland-Luxembourg-Australia-Sweden-Germany-Netherland-UK

Finance Executive Ireland-Luxembourg-Australia-Sweden-Germany-Netherland-UK

Australia
Australia, Germany, United Arab Emirates, United Kingdom
Rs 34 - 46 Lakh/Yr
2 to 7 Yrs
Full time
2/21/2026
Salary Range
Rs 34 - 46 Lakh/Yr
Experience
2 to 7 Yrs
Job Location
AustraliaGermanyUnited Arab EmiratesUnited Kingdom
Remote Work Policy
Not specified
Visa Sponsorship
Not specified
Relocation
Not specified
Skills
financebankingaccounts inventory maintenancefinance analysisaccounts payableaccounts receivablebank reconciliationfinance accountingfinance accounts
Industry
Accounting & Auditing
Hiring Status
ACTIVELY HIRING
Hiring Contact
VI
VSC INTERNATIONAL PRIVATE LIMITED
Recruiter

Job Description

URGENT HIRING !!!

 

location's :  Ireland-Luxembourg-Australia-Sweden-Germany-Netherland-UK ( Not In India )

 

Benefits : Medical Insurances , Travel allowances , Flight Tickets , Meals , etc

 

For more information call or whatsapp  +91 8527600240

 

Responsibilities:

  • Manage the monthly financial close process, including ensuring all costs incurred are properly recorded, reviewing journal entries, account balance reconciliations and report preparation.

 

  • Interacts at all levels and with Business unit owners or other stakeholders to produce timely, efficient, and accurate Business unit wise monthly MIS and all internal management and financial reporting through annual report.

 

  • Participate in the ongoing development/ establishment of accounting policies, procedures and SOPs including the review and implementation of process and system changes.

 

  • Continued focus on improving system efficiencies and business practices.

 

  • Ensure compliance with internal control policies and implement the best practices.

 

  • Collaborate with external auditors and consultants to ensure successful audit results and compliance.

 

  • Make recommendations for changes as needed and ensure that company policies and procedures are followed and ensure the proper controls.

 

  • Responsible for chart of accounts and accuracy in the general ledger and financial statements and ensuring complete accuracy in classification and booking of all transactions.

 

  • Work with Legal, Tax and Treasury Manager to ensure overall coordination of all financial accounting activities.

 

  • Actively review and advise on financial/ accounting processes.

 

  • Cash Flow and Working capital management.

 

  • Responsible for monthly, quarterly and annual accounting closure in compliance with the applicable accounting standards

 

  • Ensuring effective and efficient accounts payable process with timely TDS, GST etc. payments and vendor payments.