Posted By
Posted in
Banking & Finance
Job Code
1246637
- Coordinating with CFA's & HO Distribution Team. Resolving queries faced by them related to accounting or bank related transactions. Reviewing cheque bounce pending entries.
- Monitoring Receivable/Payables on Monthly/Quarterly basis. Preparing Overdue outstanding receivable report on quarterly basis. Debtors written off/written back & Debtors provisioning.
- Calculating Interest payable on Deposits, Generic Incentive. Check this with defined clauses & releasing payment for same.
- Collecting month end provision details from respective stakeholders, checking & passing it in SAP within defined timelines.
- Coordinating with Statutory Auditors & replying queries raised by them.
- Handling Insurance claims.
- Reconciliation of accounts & following up with respective stakeholder for clearing of accounts.(Advance/GR/IR).
- Handling all banking related transactions & Bank reconciliation.
- Sound knowledge of TDS & GST provisions.
- Hands on experience of SAP/MS Excel/MS Word.
Education Qualification: Qualified CA (SAP experience is mandatory)
Industry experience: Pharmaceuticals
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Posted By
Posted in
Banking & Finance
Job Code
1246637