Posted by
Posted in
Banking & Finance
Job Code
1669995

Description:
- Review of Trail Balances
- Variance report of Expenses- CY Actual Vs LY Actual ( Monthly / Quarterly / Annually)
- Vendor Balance Confirmation
- Vendor Ageing and clearing vendor ledgers on Monthly basis.
- Vendor bills booking along with debit / Credit Notes process within time ( Import / Domestic/Service etc.) on daily basis.
- GST input /GST reverse charge /TDS/ TCS/ 194Q / 206C etc. booked at the time of bill processing as per direct / indirect tax Act.
- Review of GIR Balances ( Domestic / Import / Service ) along with commissioner of custom balances
- Closely work with business team to clear pending bills and vendor advances ( Capex and Opex )
- Intra Group - Interest booking
- Foreign Currency exposure ( Quarterly basis ) - Import Vendors
- Review Manual and prepare SOP process for accounts payable
- Review of Employees Balances and ageing
- Review of employee deductions as per company policy
- Employee expenses booked and their payments released per approved company policy.
- Bank Reconciliations to be prepared monthly and weekly /daily publish the un reconciled entries.
- Daily Cash Flow for fund requirement
- All payments should be process after posting entries in system
- All bank charges/ Interest will be booked on daily/ weekly/ monthly basis after confirmation with
Didn’t find the job appropriate? Report this Job
Posted by
Posted in
Banking & Finance
Job Code
1669995