PRINCIPAL RESPONSIBILITIES:
The candidate would be expected to carry out the following in Accounting at Site (Operation & Maintenance)
- Carry Out and manage the operations of all Accounting work
- Good accounting knowledge & good knowledge in excel
- Process sales, invoicing, accounts payable/receivable, cash receipts, payroll, general ledger, cash flows, revenue and expenditure budgets etc.
- Petty Cash Handling; approving cash payments
- Keeping Cash Memo / Receipts for all expenses
- Preparing Reconciliation of Petty Cash Payments
- Sharing Reconciliation with Head Office
- Ensuring Availability of Cash on Sites
- Issuance of Cheque
- Scanning all Cash Memo / Receipts of Petty Cash expenses
- Safeguarding all such documents for Compliance
- Good Experience in MIS
- Good in Handling Cash and maintain records
- Good documentation skills.
BEHAVIORAL SKILLS:
- Ability to coordinate with Site O & M team, HO Manager, Head Office Finance Team
- Ability to work under pressure following stringent deadlines
- Quick decision maker and fast learner.
- Excellent verbal, written and interpersonal communication skills
- Good judgement, tact, flexibility, organization and planning skills
- Ability to work in high paced, challenging environment
- Requirement to work long hours during month-end, quarter-end and Annual activities
Salary offered: 10 - 12 LPA
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