Posting all the Export & local sales invoices, verifying the correct tax effect given.
Posting all Direct & Indirect expenses for all work in ERP after complete verification of supporting documents.
Posting all Project Employee s expenses reimbursement booking in ERP after getting the approval of respected department head/manager and checking with policy.
Posting all cash entries in ERP after getting approval of Department Head and checking with policy.
Timely reconciliation with Customers & vendors.
Booking all the purchase of a fixed asset with CA & Project and ensuring timely physical verification and reconciliation with books.
Verification of Inventory physical verification report received from Inventory and reconciling the same with books.
Parking payment entry in ERP and preparation of cheque or bank transfer documents
Issue cheques and send RTGS/NEFT documents to the bank in consultation with the Finance team/Sr. Account team/Director
Preparation of audit schedules for internal & statutory audit (as per the requirement)
Ensuring the proper filing of the vouchers along with supporting documents. (Surprise Audit by other Department).
Profile Required:
Candidate should have good exposure into general accounting