Posted By
Posted in
Banking & Finance
Job Code
950334
Position: Account Manager
Department: Account & finance Location: Mumbai
Reports to: Finance Manager Experience: 2 to 3 year
Job Description/Key Responsibilities :
- Ensuring all expense bills are received and properly booked in Tally along with narrations, Following up for bills of those whose invoices are not received
- Doing rate check Audit for all purchases
- Vendor payments to be done as per due date and payment entries are booked timely
- Purchase recon with POSIST
- Quarterly Vendor reconciliation of all critical vendors
- Review of all advances and liabilities - explanation of all old, unusual and large items.
- Monitoring accounting of all petty cash expenses - Completeness and as per policy
- Bank Reconciliation
- Daily sales reconciliation
- Reconciliation of DSR and Tally balances
- Monitoring sales and receipt Accounting
- Ensuring all sales-related expenses are valid and booked
- Monitoring Party wise debtors and ensuring timely recovery of money
- Coordinate with a Tax consultant for GST and TDS working
- Reporting - MIS, Balance sheet and any other Adhoc report as needed
- Complete Income reconciliation of all heads to ensure no revenue leakages
- Monthly book closing and preparation of financial statement at entity level.
- Preparation of monthly geography wise profit and loss statement and variance analysis against
- Variance analysis for operational cost components
- Preparation of monthly stock statement
- Preparing analysis for monthly accrual v.s actual income booking
- Implementation of credit policy
- Analysis of overdue debtors for monthly credit review and tracking Business Heads commitments for Recovery.
- Handling statutory and Internal Audit.
- Reporting - MIS report and Balance sheet.
- Monthly book closing and preparation of financial statement.
- Coordinate with Tax consultant for GST and TDS working.
- Analysis of overdue debtors for monthly credit review.
- Reconciliation of GST Return with books of Accounts. (GSTR 2A with PR)
- Review Monthly Royalty working and Purchase Reco. with POSIST.
- Review of all advances and liabilities - explanation for all old, unusual & large items.
- Review Monthly stock statement.
- Handling queries from team, franchisee & other department.
Required Skills :
- Good Communication Skill
- Good Interpersonal skills
- Advance MS office knowledge
- Tally MUST
Qualification - CA/ MBA_ Finance
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Posted By
Posted in
Banking & Finance
Job Code
950334