plastemartjobs.com Email: jobs@plastemart.com, hr@plastemart.com Download Date: 6/8/2025 9:28:29 PM ________________________________________________________________________________________ RefNo: CA - 34123 Gender: Male Age: 49 Designation: Head ? Finance & Commercial Highest Education Level: Masters - Degree Current Gross Salary: 270000 270000 /Annum Preferred Location: Udaipur Education Details: Master of Business Administration (Finance) 2001Institute of Management Studies, South Asia Branch Pune. ICWA (Inter) iCWAI in 1992 and Master of Commerce 1991 MLS University Udaipur- Rajasthan Skill Sets: IT Skills working on My-SAP and also have knowledge of MS Office Applications, Accounting Packages - all Tally versions with ERP /SAP, & also worked on DOS BASE CLIPPER, ORACLE, SYMCO, SKY, GSS,UDYOG and FACT etc.. Work Experience: 34 Work Experience Details: Group CFO and Headed From - February2015 To till March-2021 Company profile - One Of India's Leading Business House With Interests In Fmcg, Pipes & Fittings, Stationery, Printing & Packaging Job profile - FMCG Industry Real Estate Division Pipe and Fittings Industry Printing and Stationery Industry Courogation Industry Cinema Division- Production House Multiplex Cinema chain- Pan India Tobacco Division Domestic and EOU units CSR and welfare activities Head Office/Corporate Office. Job profile - Holding power of attorney to take various important & necessary decisions in companys favour, to execute various Bonds, Sign. Agreements and also signing authority for all the banks & financial institutions etc. Coordination with Chairman Office, Head Office and multi locations plants. Over all responsible for entire group business activities. Conducting Monthly/Quarterly Business Review Meetings for all the group companies Responsible for review of customer outstanding and major vendor outstanding; implementing cost control measures. Indepth review of deviations/variances between actual and budgeted datas. Looking after Operational expenditure/control and responsible for strategically planning & implementing innovative business strategies to initiate finance control to maximize profitability. Successfully liaising and coordinating with banks and other institutions for working capital requirements; making efforts to establish healthy and close relations with them for smooth running of the business. Managing overall project accounting functions; shouldering responsibilities pertaining to Fixed Assets Accounting, accounting of revenue expenses, Investment appraisal as well as Preparation of Payment plan of Capital Account. Spearheading efforts across tax related matters like timely filling of various returns of income. Handling issues pertaining to TDS, Corporate Tax, Personal Taxation of employees etc. Ensuring timely submission of Monthly Entry Tax Return, Quarterly CST & VAT Returns, Wage Subsidy/Interest Subsidy Returns; ensuring issuance of various declaration forms under CST and LST/VAT Act and receipts of various declaration forms under CST Act like Form C, F, H & I And also dealing with depots/Branches of the company. Formulating innovative financial strategies in annual budgeting and forecasting. Also having expertise experience in Material Management; handling Indent / Requisition procedures for Material Required, Fixing of Inventory Level and carrying out inventory Analysis like ABC, Fast and Slow Moving etc. EX_IM Portfolio-Handling records keeping related to Excise & Customs Rules & Regulations; monitoring overall Import/ Export procedures and documentation according to EXIM & FTP Policy and submitting applications for various export benefits like DEPB, Advance Licenses, EPCG etc. Handling insurance port-folio to insure all the assets of the company under various policies like : coverage of Fixed assets Building, Plant & machineries for Standard fire & perils, burglary etc, coverage of all the Stocks lying with company, and also to cover movement of the goods under marine open policy and finally vehicle portfolio also. Setting-up internal reporting system and prepare MIS reports for monitoring movement of key financial/business indicators to facilitate decision making and fruitful dissemination of information. Head Finance & Commercial From - June 2011 to till Feb - 2015 Company profile -Compounding, Woven sacks, Dripper, Geo fabrics, Ink & rotogravure and Packaging etc.) Job profile - Holding power of attorney to take various important & necessary decisions in companys favour, to execute various Bonds, Sign. Agreements and also signing authority for all the banks & financial institutions etc. Coordination with HO and multi locations plants. Adept at handling and managing overall accounting operations viz. preparation and finalization of various accounts and statements viz. Trial Balance, Profit & Loss Account and Balance sheets on monthly & Quarterly basis. Responsible for review of customer outstanding and vendor outstanding; implementing cost control measures identifying deviations/variances between actual and budgeted expenditure. Looking after Operational expenditure/control and responsible for strategically planning & implementing innovative business strategies to initiate finance control to maximize profitability. Successfully liaising and coordinating with banks and other institutions for working capital requirements; making efforts to establish healthy and close relations with them for smooth running of the business. Managing overall project accounting functions; shouldering responsibilities pertaining to Fixed Assets Accounting, accounting of revenue expenses, Investment appraisal as well as Preparation of Payment plan of Capital Account. Spearheading efforts across tax related matters like filling & preparation of forms, returns of income tax and sales tax, timely deduction & submission of returns; handling issues pertaining to TDS, Corporate Tax, Personal Taxation of employees etc. Ensuring timely submission of Monthly Entry Tax Return, Quarterly CST & VAT Returns, Wage Subsidy/Interest Subsidy Returns; ensuring issuance of various declaration forms under CST and LST/VAT Act and receipts of various declaration forms under CST Act like Form C, F, H & I And also dealing with depots/Branches of the company. Formulating innovative financial strategies and assisting the company in annual budgeting and forecasting. Looking after Material Management; handling Indent / Requisition procedures for Material Required, Fixing of Inventory Level and carrying out inventory Analysis like ABC, Fast and Slow Moving etc. EX_IM Portfolio-Handling records keeping related to Excise & Customs Rules & Regulations; monitoring overall Import/ Export procedures and documentation according to EXIM & FTP Policy and submitting applications for various export benefits like DEPB, Advance Licenses, EPCG etc. Handling insurance port-folio to insure all the assets of the company under various policies like : coverage of Fixed assets Building, Plant & machineries for Standard fire & perils, burglary etc, coverage of all the Stocks lying with company, and also to cover movement of the goods under marine open policy and finally vehicle portfolio also.. Setting-up internal reporting system and prepare MIS reports for monitoring movement of key financial/business indicators to facilitate decision making and fruitful dissemination of information. Head Finance & Commercial From - January 2008 to June2011 BHANSALI ENGINEERING POLYMERS LIMITED, GM Finance & Commercial From Mar 2006 - Jan-2008 M/s- GARNETT SPECIALTY PAPER LTD ________________________________________________________________________________________