Posted By
Posted in
Banking & Finance
Job Code
1044818
- Post/Upload accurate entries into Accounting system in correct Cost Centres/bank portal
- Ensuring proper vendor management & timely payments to vendors
- Reconcile expense ledgers, Bank ledgers, Balance Sheet ledgers (Advance and Payables)
- Reconcile and maintain day to day Bank balances with AP and other stakeholders
- Monthly Maintenance of FAR register / Depreciation Schedule (IT+Co Law)
- Review and verify payroll input data shared by HR
- Responsible for ensuring completion of physical verification of assets (Annually)
- Produce & analyse monthly reports from the procurement tool including vendor ageing
- Assist with month end /year end closing along with preparation of required schedules
- Provide supporting documentation for audits (Internal, External and DD)
- Ensure compliance with Accounting Standards, Direct and Indirect Laws and Company Law
- Executing/controlling vendor payments to ensure all the payments are done within the due dates
- Prepare expense schedules and analyze variances on periodical basis providing reasoning for the same.
Requirements:
- Needs to have a drive to excel in any task given; ability to work independently
- Strong Excel and Reconciliation Skills
- Good communication Skills & Administrative Writing Skills
- Attention to detail and accuracy and analytical thinking
- Should have sufficient knowledge on GST, TDS and other statutory compliances
- B.Com/CA Inter/Degree with minimum 5 years of work experience in AP is a must
- Big4 Audit will be an added advantage
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Posted By
Posted in
Banking & Finance
Job Code
1044818