Job Description

Responsible for managing key financial operations including revenue recognition, project accounting, working capital monitoring, statutory compliances, audit support, MIS reporting, and financial controls. The role ensures accuracy, transparency, and timeliness of financial data essential for management decision?making and statutory obligations.

Key Responsibilities1. Revenue & Cost Accounting

  • Preparation and review of RSV (Revenue) statements, RSV entry reversals, and RSV interest workings.
  • Monitoring of Project Valuation Reports, performance variance, and completed project cost provisions.
  • Analysis of OI/OB sales, PLR (Price Level Reserve) provision, and DLP (Defect Liability Period) provision.
  • Ensuring accurate project cost capitalization including AUC details and CWIP statement.

2. Working Capital & Operational Finance

  • Preparation of Working Capital reports and monitoring of receivables/payables.
  • Tracking project-wise unadjusted advances and reconciliation with the project team.
  • Verification of Cash Flow workings and supporting treasury functions.
  • Compilation of Yard Details and inventory?related financial impact.

3. MIS, Reporting & Management Presentations

  • Development of Labour Dashboard, Fixed Cost Report, Capacity Utilization details, and other MIS reports for management review.
  • Preparing Audit Committee data, management decks, and Deloitte PPT support.
  • Analysis of Forex Exposure and reporting to management.

4. Compliance, Audit & Controls

  • Supporting statutory, internal, and external audits including ICFR documentation, RPT (Related Party Transaction) reporting, and balance confirmations.
  • Ensuring Compliance of Wages through ECS and other labour/finance?related statutory requirements.
  • Preparation of ECL (Expected Credit Loss) entries as per financial standards.
  • Monitoring Asset Disposal accounting and documentation.

5. Special Projects & Cross?Functional Coordination

  • Maintenance and review of Master Project financial data.
  • Tracking Orders Lost & Orders Deferred and coordinating with sales/commercial teams.
  • Contributing to CLCS reporting, PAT built?up, and other strategic financial analyses.
  • Coordination with departments for validating data for financial controls and reporting.

Core Competencies

  • Strong financial analysis and accounting knowledge
  • Proficiency in project accounting
  • Excellent MIS preparation & presentation skills
  • Understanding of audit & compliance frameworks
  • Ability to work cross?functionally with project, operations, and commercial teams
  • Attention to detail and strong reconciliation skills


Job Details

Role Level: Not Applicable Work Type: Full-Time
Country: India City: Surat ,Gujarat
Company Website: https://www.larsentoubro.com/ Job Function: Finance
Company Industry/
Sector:
Executive Offices

What We Offer


About the Company

Searching, interviewing and hiring are all part of the professional life. The TALENTMATE Portal idea is to fill and help professionals doing one of them by bringing together the requisites under One Roof. Whether you're hunting for your Next Job Opportunity or Looking for Potential Employers, we're here to lend you a Helping Hand.

Report

Disclaimer: talentmate.com is only a platform to bring jobseekers & employers together. Applicants are advised to research the bonafides of the prospective employer independently. We do NOT endorse any requests for money payments and strictly advice against sharing personal or bank related information. We also recommend you visit Security Advice for more information. If you suspect any fraud or malpractice, email us at abuse@talentmate.com.


Recent Jobs
View More Jobs
Talentmate Instagram Talentmate Facebook Talentmate YouTube Talentmate LinkedIn