Sr. Manager – Finance

August 19, 2026
Urgent
Application deadline closed.

Job Description

We’re Hiring |Sr. Manager – Finance.

Job Location: – Chennai (Vijaya Raghava Road, T. Nagar).

Experience Required: – 10–15 years of post-qualification.

Salary Budget: – 30 LPA.

Qualification: – CA / CMA / MBA Finance / M. Com or equivalent.

Notice Period: – Immediate Joiners or ≤ 30 Days Preferred.

Job Requirements: –
CA / CMA / MBA Finance / M. Com or equivalent qualification.
10–15+ years of experience in Finance & Accounts.
Preferably from construction, infrastructure, manufacturing, or EPC industry.
Strong knowledge of AP, AR, taxation, and statutory compliances.
Expertise in ERP systems such as SAP ERP, Oracle ERP, or Tally Prime.
Advanced Microsoft Excel and financial reporting skills.
Strong leadership, analytical, and stakeholder management abilities.

Job Key Responsibilities: –
Accounts Payable (AP):- Oversee vendor invoice processing and payment cycles.
Ensure timely payment to suppliers, contractors, and service providers.
Monitor vendor reconciliations and outstanding balances.
Implement controls for purchase-to-payment processes.
Review aging analysis of payables and optimize working capital.

Accounts Receivable (AR):- Monitor customer billing, invoicing, and collections.
Track outstanding receivables and reduce collection cycle time.
Coordinate with business teams for payment follow-ups.
Review debtor aging reports and cash realization forecasts.
Ensure timely accounting of receipts and customer reconciliations.

Statutory & Regulatory Compliance:- Ensure compliance with Goods and Services Tax Network (GST), Income Tax Department (TDS/TCS), Employees’ Provident Fund Organization (PF), Employees’ State Insurance Corporation (ESI), Professional Tax, and other statutory obligations.
Ensure timely filing of monthly, quarterly, and annual returns.
Coordinate with auditors, consultants, and regulatory authorities.
Keep track of amendments in financial and tax laws.

Financial Reporting & Controls:- Prepare monthly MIS, financial statements, and management reports.
Review general ledger, journal entries, and account reconciliations.
Monitor budgets, forecasts, and variance analysis.
Strengthen internal controls and financial governance processes.
Support annual audit, internal audit, and tax audit activities.

Treasury & Cash Flow Management:- Manage working capital and daily cash flow planning.
Coordinate banking operations, fund utilization, and banking relationships.
Monitor fund requirements for projects and operations.

Team Leadership:- Lead and mentor the finance and accounts team.
Drive process improvements and automation initiatives.
Ensure cross-functional coordination with procurement, HR, projects, and operations.

To Apply: – Email your updated resume to hr@eduplexconsultancy.com
For inquiries: – +91 70289 22259.