Kartik Vora

Head of Finance and Accounting at MAKSON GROUP
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Contact Information
us****@****om
(386) 825-5501
Location
Ahmedabad, Gujarat, India, IN
Languages
  • English Native or bilingual proficiency
  • Gujarati Native or bilingual proficiency
  • Hindi Full professional proficiency
  • Marathi Limited working proficiency

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Credentials

  • NCFM
    -
  • SAP Certified Technology Associate - SAP HANA 2.0
    SAP

Experience

    • India
    • Food and Beverage Manufacturing
    • 1 - 100 Employee
    • Head of Finance and Accounting
      • May 2021 - Present

      SAP Implementation (S/4HANA) Finance Accounting International Operations European Tax European Payroll Setup SOP for smooth operation Budgeting Financial Statement SAP Implementation (S/4HANA) Finance Accounting International Operations European Tax European Payroll Setup SOP for smooth operation Budgeting Financial Statement

    • India
    • Investment Management
    • 300 - 400 Employee
    • Finance Manager
      • Mar 2019 - Apr 2021

      Budgeting Cashflow P&L Product wise costing & Profitability SAP development (S/4HANA) Cost reduction drive Finance function improvement initiative Audit Forecasting monthly plan Variance analysis btw forecast and actual Dashboard presentation Management MIS Budgeting Cashflow P&L Product wise costing & Profitability SAP development (S/4HANA) Cost reduction drive Finance function improvement initiative Audit Forecasting monthly plan Variance analysis btw forecast and actual Dashboard presentation Management MIS

    • India
    • Renewable Energy Semiconductor Manufacturing
    • 700 & Above Employee
    • Assistant Manager Finance Account
      • Apr 2016 - Mar 2019

      - OPEX Controller of GJ State- Presenting State Score Card on monthly review- Monitoring Budget Vs Actual Cost- Project Score Card - Vendor negotiations - Cash planning- Monthly accounting closure- Auditing - Worked on: SAP (System Application and Products in Data Processing)

    • Senior Executive - Treasury
      • Apr 2015 - Mar 2016

      - Cash planning- Risk Management- Plan daily requirements of cash funds in coordination with various departments, get authorization of CFO and arrange for funds and payments.- Preparing Monthly / quarterly / annual forecasted cash flow statements for fund requirements.- Foreign remittances of various overseas entities- Dealing with Stakeholders

    • Executive - Treasury
      • Dec 2011 - Mar 2015

      - Cash planning- Preparing Monthly / quarterly / annual forecasted cash flow statements for fund requirements.- Accounting and reporting of overseas entities as per various local GAAP and Indian GAAP.- Foreign remittances of various overseas entities- Handing audit of overseas entities on quarterly and annually- Collection entries in SAP

    • India
    • Financial Services
    • 700 & Above Employee
    • Relationship Manager
      • Jun 2011 - Dec 2011

Education

  • Sinhgad Institute Of Management
    Master of Business Administration (MBA), Finance
    2009 - 2011
  • Pune University
    Diploma in Imort-Export Management, Import-Export
    2009 - 2010
  • N.R.Institute Of Management (GLS)
    Bachelor of Business Administration (B.B.A.), Finance
    2006 - 2009

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