To manage day-to-day accounting, site expenses, and support management with timely financial reports.
Key Responsibilities:
Daily Accounting: Maintain all financial transactions, invoices, payments and receipts in Tally Prime accurately.
Monthly Analysis: Perform month-wise analysis of expenses, revenue and budget vs actual and share reports with management.
Site & Project Costing: Track site-wise expenses, material and labor cost every month and prepare project cost reports.
Monthly Reconciliation: Complete bank, vendor and GST reconciliation on monthly basis.
Statutory Work: Support in monthly TDS, GST, PF, ESI filings and payroll processing on time.
Reporting: Prepare monthly MIS,
cash flow and project reports for management review.
Coordination: Coordinate with site team and vendors for billing, payments and fund requirements.
Skills Required:
Software: Tally Prime and MS Excel must
Experience: 2+ Years in accounting, preferably from Infrastructure/Construction company
Knowledge: GST, TDS, PF, ESI basics
Strength: Positive at analysis, detail oriented and soft in communication