Posted By
Posted in
Banking & Finance
Job Code
970544
Chartered Accountant
1. Supervise, manage and monitor :
- Day to day accounting, ensuring exercise of internal controls as per the Standard Operating Procedure
- Accounts Payable Process including real-time maintenance of tracker, planning and executing the payment runs, Vendor Account Reconciliations, managing Lower TDS Certificates, communications, Ageing Schedules, etc.
- Employee Reimbursement accounting, review and adjustment of debit and credit balances, communication with respective employee and timely clearance of account balances
- Compilation of Cash Flow Statements, ensuring periodic Bank Reconciliations
- Ensuring data availability to ensure timely compliances under Direct and Indirect Taxation, rendering relevant reports/reconciliations
- Authorizing Purchase/Journal Vouchers and Other Consolidated Reports in compliance with time & accuracy norms
- Generation of Cost Centre based reports, allocations and reallocations
2. Need to have hands-on exposure on SAP
3. Be responsible for month-end Trial Balance review, reconciliations arising therefrom, closure of open items in SAP
Ability to communicate well, manage a team of 8-10 at two locations in India1. Supervise, manage and monitor -
- Day to day accounting, ensuring exercise of internal controls as per the Standard Operating Procedure
- Accounts Payable Process including real-time maintenance of tracker, planning and executing the payment runs, Vendor Account Reconciliations, managing Lower TDS Certificates, communications, Ageing Schedules, etc.
- Employee Reimbursement accounting, review and adjustment of debit and credit balances, communication with respective employees and timely clearance of account balances
- Compilation of Cash Flow Statements, ensuring periodic Bank Reconciliations
- Ensuring data availability to ensure timely compliances under Direct and Indirect Taxation, rendering relevant reports/reconciliations
- Authorizing Purchase/Journal Vouchers and Other Consolidated Reports in compliance with time & accuracy norms
- Generation of Cost Centre based reports, allocations and reallocations
2. Need to have hands-on exposure on SAP
3. Be responsible for month-end Trial Balance review, reconciliations arising therefrom, closure of open items in SAP
Ability to communicate well, manage a team of 8-10 at two locations in India
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Posted By
Posted in
Banking & Finance
Job Code
970544