Website:
mantlesolutions.in
Job details:
Main Purpose of the Job
Responsible for undertaking reconciliation activities and financial accounting activities in line with the policies and procedures of Mantle Solutions Pvt. Ltd.
while ensuring accuracy, compliance, and timely reporting of financial information.
Main Responsibilities / Job Summary
- Carry out reconciliation activities related to vendor accounts, bank accounts, and other financial transactions.
- Improve reporting efficiency and consistency through effective MIS reporting.
- Maintain fixed asset registers and monitor tenant receivable ageing.
- Prepare income-related analysis and financial reports for management review and decision-making.
- Work closely with internal stakeholders and related parties to continuously improve financial processes.
- Ensure financial security by adhering to internal controls, company policies, and accounting procedures.
- Perform administrative and other finance-related tasks as assigned.
Key Responsibilities & Deliverables
- Reviewing invoices and conducting vendor account reconciliation.
- Conducting bank reconciliation on regular basis.
- Carrying out MIS Reporting.
- Calculating and recording depreciation of a company’s assets and investigating their potential obsolescence.
- Conducting tenant receivable ageing
Skills & Knowledge Requirements
Technical / Functional Knowledge
- Sound knowledge of accounting principles and financial reconciliation processes.
- Ability to adhere to Generally Accepted Accounting Principles (GAAP).
- Proficiency in MS Office Suite, especially Excel.
Key Skills
- Strong interpersonal skills
- Reporting and analytical skills
- Attention to detail
- Deadline-oriented approach
- Teamworking and collaboration skills
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