Responsibilities :
- Review, verify & post PO/NPO invoices (3rd Party/Inter-company)
- Liaise with CAs to acquire remittance certificates
- Understand and pass Goods in Transit and accrual entries at the time of periodic closing of books
- Initiate and participate in continuous improvement projects
- Maintain high efficiency and accuracy
- Ensure adequate controls over the process are maintained
- Prepare MIS to meet management requirements
- Ensure the accurate rate of GST/ TDS has been deducted
- Perform vendor account reconciliation, resolve the differences, and acquire sign-offs
- Analyze old vendor balances and clear issues arising thereof
- Review of debit balances in vendor accounts and resolution of the same
- Review of open Purchase Orders and highlight exceptions
- Duplicate invoice checking
- Address Level 2 support-related supplier/internal customer inquiries
- Generate, analyze, and clear the GRIR report
- Review and timely resolution of all audit queries
- Understand and pass Goods in Transit and accrual entries at the time of periodic closing of books.
- Prepare and Maintain SOX documentation.
Required (Education, Knowledge required, Language skills, etc):
- Bachelor’s Degree required
- Min 2+ year experience
- SAP
- GST provisions and withholding tax
- Knowledge of Bank Guarantees and Letters of Credit.
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