Posted By
Posted in
Banking & Finance
Job Code
1042861
- Accounting processes to ensure allocation of funds and expenses to the appropriate cost centers
- Handling Petty cash payments, IOU's and proper accounting of the same.
- Up to date Book keeping in Tally version 9
- Verification of all transactions for bills, authorization etc. prior to payments Fund management
- Attending internal Audit and external audits and giving necessary clarifications, liaison with auditors for smooth completion of the Audit
- Tracking the expenses of all the cost centres, highlighting the cost over runs and suggesting cost control measures based on the analysis
- Preparing MIS reports as required, on monthly basis and reporting back to AGM / DGM - Finance & Accounts
- Prepare fund Request & Utilization Report
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Posted By
Posted in
Banking & Finance
Job Code
1042861