1. Verification/Checking / Approval of payments requisition for Sites .
2. Vendors Ledger/ Debit Balance Scrutiny and coordinating with the respective coordinators , Stores. P& M & Purchase in this regard.
3. Communication / Interaction with particular Site Co-ordinator / PD if requrired for Payment
4. Preparation of Rental Invoices and communicate to parties and follow up for payments.
5. Supplier Ledger Reconciliation & Balance Confirmation.
6. Checking / Verifying the Back-to-Back contractors bills and statement / Calculation
7. Approving the payment of all the back-to-back Contractors Payment / Bills / GST filling checking in GSTR1 & GSTR3B
8. Scrutanise / verity / Checking all back to back Contractor Ledger.
9. Approval for bill booking, Dr/Cr Note accounting
10.
Checking contractor bills / Dr Note / Cr Note - and its Vendor Tax Invoice with all suportings, verify the same and approval in SOP
11. Verify the deductions with measurement of sheet and accordingly prepare the debit/ Credit note and pass the entry in the books of accounts.
12. GST Status preparation , Approval of PO/ WO
13. Coordination with Site accountants as regard to Verification & Vouching of Labor Payments, Commission etc.
14. Daily Checking /Verifying/ Approvals like, PO, Payment Request, JV'S etc.
15. Through knowledge of TDS/TCS/GST/PF/PT
Preferred candidate profile
Must be aware of Statutory compliance and MIS
Must have handled Cash
Industry Preferable: Infra
📌 Assistant Manager (Pune)
🏢 Isc Projects
📍 Pune
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