Website:
srishtidigilife.co.in
Job details:
· To handle import purchase/export entries in tally with exchange t=rates and complete narrations
· Preparing costing for imported goods and to check with previous import price
· To ensure all import purchase bills booked and credit/debit note booked
· To check the freight invoice and logistics bills and making comparison chart on monthly basis
· To check GST monthly report for all branches and to maintain hard copies for the same for all branches
· To reconcile overseas party ledger and to book forex loss and gain entries on regular basis.
· To submit stock report to the banks on monthly and quarterly basis.
· To maintain Bill of entries and invoices and airway bills with proper filling.
· To submit the BOE copies to the bank and clear all outstanding bills.
· Banking: transaction entry; Bank Reconciles, cash receipts report, credit charges and direct debits setups.
· Cost control: - To Ensure optimum utilization of available resources. Keeping the actual admin expenditures within budgeted expense ratio.
· To handle branch reconciliation on monthly basis.
· Ensure month end journal, work papers and reconciliations are timely and accurate.
· Preparing the management accounts for the Finance Manager and in line with group expectations.
· Identifying and communication efficiencies with current processes and procedures.
· Business partnering with Finance Manager & leadership Team, Account Management Team, HR. Ensuring that bi monthly catch ups with these partners Adhoc financial reporting as the business requires.
- · Compute taxes owed and prepare tax returns, ensuring compliance with payment, reporting or other tax requirements ed environment
- Proficiency in relevant software tools and CRM platforms
- Experience in the technology or digital solutions industry is a plus
- Bachelor's degree in Business, Marketing, Communications, or a related field
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