The JD for the role is as under.
Drive and ensure Vendor account management and reconciliation as per approved guidelines:
- Correct Invoice booking under appropriate account codes
- Ensuring correct accounting
- Ensuring correct deduction of taxes
- Timely payout to vendors/employee as per defined SLA/TAT
- Timely closure of AP Module (Oracle Financial)
- Ensure all vendors invoices/ are in compliance with firm’s policies and guidelines.
- Identify process and/or system improvement opportunities, recommend solution, obtain necessary approval and assist with implementation.
Drive and ensure timely payment for Electricity Boards and Diesel Vendors as per approved guidelines:
- Correct Invoice booking under appropriate account codes
- Ensuring correct accounting
- Ensuring correct deduction of taxes
- Engage with the heads across other functional areas of the company, primarily with O and M and Technical Heads/Teams to gain inputs regarding the payment issues and resolving them.
- Ensure timely generation of the pre defined reports as per the Tat and SLA’s agreed with other function, (MR., FR, SCM, and Technical) along with some predefined data.
- Continuously engage with the IT team for ensuring smooth running of the automated payment and banking system and recommend improvements into the system in order to increase its effectiveness.
- Interact with the Business heads/teams at various circles to seek clarity in payment issues and resolve inconsistencies.
- Coordinate with Auditors to ensure timely closure of all pungency and issues.
- Establish good controls to ensure accurate and timely payments to Vendors.
- Ensure Maker and Checker Concept so as to ensure segregation of duties.
- Review the DTR with CSS Head on Monthly basis to ensure accurate data reporting
- Review Advance Aging and ensure no aged and doubtful advances in books.
- Establish KRI’s and KPI’s of the team and ensure their adherence.
- Analyze performance of teams, suggest measures for improvement & ensure their motivation and development.
- Initiate, develop and facilitate continuous improvement opportunities
- Over all responsible for preparation of monthly opex provisions for all BIL Circles
- Actualization of opex provisions.
- Preparing aging of opex provisions.
- Variance analysis of opex provisions.
- DTR & Expense schedule preparation.
- Prepaid expense schedule preparation.
- Support CSS team for process automation.
- Quality check & various controls to ensure correct payments.
- Handling Statutory Auditors & Internal Auditors queries.
Review of following various daily reports/dashboards:
- Daily quality check for high value transaction.
- Weekly review with circles on pending aged provisions.
- Weekly provisions report to be circulated.
- Weekly report on advance aging to all circles.
- Prepared Query Helpdesk where entire Infratel employees can raise queries pertaining to self claims or Vendor claims
- Query Helpdesk works on Ticket Management basis and each query gets assigned with one unique ticket number.
- Each ticket is monitored and resolved within SLA of 72 Hours by providing resolution to users.
- Worked as SPOC for CSS Accounts Payable function to get the internal and statutory audit completed
- Ensure timely data/schedules to be provided to auditors
- Ensure timely response to audit queries
- Ensure to keep re-visiting the existing processes to mitigate control issues
Candidate Profile:
- CA with 8 years of experience in the service industry in finance
- Experience of working on Oracle (mandatory)
- Good hands on experience in MS Excel, Powerpoint
- Excellent Analytical and Problem solving skills.
- Good numerical reasoning.
- Excellent Time management skills and ability to meet critical deadlines.
- Fast comprehension.
- Ability to exercise tact and good interpersonal skills.
Interested candidates may please share their CV along with current and expected CTC
Didn’t find the job appropriate? Report this Job