07 Aug
|
Diversified Business Conglomerate Headquartered in Singapore
|
Chennai
07 Aug
Diversified Business Conglomerate Headquartered in Singapore
Chennai
- Updation of Daily Exchange Rate into the system received from Bank Source
- Posting of Customer Receipts from the Bank Statement periodically
- Preparation of Payment request for Suppliers and Vendors
- Bank Statement Generation from Bank Website
- Based on the bank Statement to update the dates for the transactions present in the system on a daily basis
- Debit Note/Credit Note Preparation
- Payment Posting for the payment made to Supplier and Vendor through TT and Cheque
- To prepare an abstract of the payment made to Supplier mentioning the details of payments made on a particular day
- Linking/Unlinking transaction to revise information captured in a particular consignment
- To update the Forex Contract details based on information forwarded by SNG team
- Purchase posting (for Reinvoicing cases)
- To post Month Entries
- To prepare Snapshot determine the Cash position
- Preparation of Bank Reconciliation Statement
- To create Vendor Liability for all the Freight Bills captured / Insurance Cover taken etc.
Immediate Joiners preferred
📌 Executive/Sr.Executive - Finance (Chennai)
🏢 Diversified Business Conglomerate Headquartered in Singapore
📍 Chennai