Mohd Anzar Ali
Founder @ Startup Khata
About
1.Develop, Design, and Execute Business Strategies: Create, design, and execute business strategies, financial strategies, and strategic planning initiatives to drive business growth and align with company objectives. 2. Direct Oversight: a) Directly oversee the organization's vision, growth, operations, and financial activities. b) Provide leadership in long-term planning and business execution across all departments. Guidance and Consultation: c) Offer guidance and consultation to heads of operations, business development, finance, technical departments, and directors. 3. Financial Management: a) Ensure accurate forecasting, corporate compliance, efficient cash management, and thorough financial reporting and taxation practices. 4 .Financial Stewardship: a) Strategy Development and Execution: b) Develop and execute strategies supporting business objectives. c) Oversight includes forecasting, cash management, financial reporting, and taxation compliance. 5. Budgeting and Controls: a) Lead budgeting, ensuring alignment with long-term plans. b) Maintain internal controls and risk management to optimize operations. 6. Performance Monitoring and Analysis: a) Monitor financial performance, with insights informing decisions. b) Analyze financial performance to drive recommendations for improvement and ensure compliance with regulations. 7. External Relationships and Negotiations: a) Cultivate external relationships for capital raising. b) Negotiate financial agreements and liaise with auditors. 8. Team Leadership and Management: a) Lead and coach the finance team for resource optimization. b) Manage day-to-day financial operations, including cash flow and tax management. 9. Representation and Advisory Role: a) Represent the company in dealings with government departments. b) Serve as a strategic advisor to the executive team, contributing to overall company direction.
India
Greater Delhi Area
Accounting
Tax Law, Financial Analysis, Bank Reconciliation, Business Development, Strategic Planning, Corporate Tax, Tax Advisory, Manufacturing Process Improvement, US Tax, 1120, 1120S, schedule m, IRS, Business Strategy, Business Planning, Succession Planning, Growth Strategies, Revenue & Profit Growth, CFOs, CEOs
Experience

Founder
Delhi, India
Transforming the Accounting Landscape in India with AI Integration, Built-in Funding Support, first time in india tax filling through WhatsApp/Mobile, Streamlined Single-Click Entry with Vendor Management Automations, and Instant Importation through AI Data Science for Automated Accounting & bank statement importations. Advanced Auto Reconciliations with Creditors and Taxes Eliminate Manual Efforts, Ensuring a Seamless Financial Presentation. Below are the features of startup khata: 1. No need of accounting knowledge or specific training to operate our software, zero accounting with complete accounting. 2. Innovative Tax Filing first time in india tax filling through whatsapps 3. Minimize manual data entry by automation of Single-Click Entry purchase automations 4. Advance auto Reconciliation 2A/2B and single click entry using 2A/2B data etc 5. AI-Powered Automation Seamless synchronization of bank and accounting data 6. Virtual Assistant/Accountant and collection manager enabled 7. Project wise profit analysis 8. Ledger import from other users 9. payroll user accounts user 10. single click funding/loan by integration with bank 11. Customized invoice format for each users with multiple invoice template 12. industry wise automated invoicing with 100% automated accounting. 13. work tracker and team management by users 14. multiple users with multiple branch incorporations 15. Audit trail of each transactions. 16. e way bill and e invoice on single click, no need to visit other website to generate e invoice or e way bill. 17. Inbuild GST calculator 18. more then 70 reports will be available 19. MSME tracker for more then 45 days payment expense disallowance. 20. Inventory management 21. AP, AR, GL management

Head of Finance
Vidyarthi Sethi School Wears
Delhi, India
As the overseer of financial activities, I manage forecasting, cash flow, reporting, and taxation, ensuring compliance with Indian tax laws. I lead budgeting efforts, aligning budgets with long-term plans and analyzing variances. Internal controls, risk management, and compliance processes are developed and maintained under my guidance. I monitor and analyze financial performance, providing insights for decision-making. Building relationships with investors and banks, I facilitate equity and debt raising to bolster financial health. Negotiating financial contracts and liaising with auditors are among my responsibilities. I mentor and develop the finance team for resource optimization. Day-to-day financial operations, including cash flow, accounts, and payroll, are managed efficiently. I handle all direct and indirect taxation matters, representing the company to government departments. Analysis of financial performance drives improvement recommendations, ensuring regulatory compliance. Additionally, I serve as a strategic advisor to the executive team, providing guidance on financial matters. In taxation, I oversee tasks such as TDS, GST, service tax, and handle accounting, financial, and budgeting aspects including accounts payable, accounts receivable, cash management, and investor relations.

Account Head
Delhi, India
Finalization of annual accounts As per Schedule III & Individual accounts of companies, partnership firm in consonance with the applicable accounting standards and various requirements under Company law. Preparation of MIS report to provide feedback to top management on financial performance, Fund management, Risk control, profitability. Handled proficiently Day to Day book keeping of various companies. Handle GST related work including GST refund. Preparation of Form 3CA, 3CB, 3CD. Played a key role in calculation and finalization of the deferred tax asset/ deferred tax liability of the entity. Accounting & Reconciliation of Account payable, Account receivable and Accounting and physical verification of Fixed Assets. Debtor management: - Analysis of debtor management system and suggesting the measures to improve it and also take necessary action for recovery of receivable through factoring or through selling of debtor recovery right to Debt collection party in case of non – recovery of amount directly from party Physical Verification of Cash, Inventory and fixed asset and their valuation. Monthly finalization and deposition of statutory dues like TDS, Service Tax, and sales tax,GST. Handled e-filing of Income Tax Returns, TDS Return and Service Tax Return. Preparation of financial budget of company for future. Variance analysis of difference between the actual result and budgeted estimates. Analysis of monthly expenses and suggesting corrective action to minimize the cost. Vouching & Verification / Scrutiny of various ledger like Cash and bank, Purchase and Sales ledgers etc. Analysis of internal control in place in organization and verifying their appropriateness for the organization and suggesting measures of improvement, if need. Handle loan related work and compliance
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