15 Aug
|
Satcom Infotech
|
Navi Mumbai
15 Aug
Satcom Infotech
Navi Mumbai
Role & responsibilities
Purchase Invoice Management: Enter all Purchase Invoices accurately and completely on a daily
basis within the accounting system.
Invoice Reconciliation: Reconcile incoming vendor invoices against purchase orders and receipts
to identify and resolve any discrepancies promptly.
TDS Compliance: Ensure accurate booking and deduction of Tax Deducted at Source (TDS) at
the exact time of purchase invoice entry in accordance with statutory regulations.
KEY RESULT AREAS (KRAS) & DELIVERABLES
Sophos Purchases & TDS Booking: Maintain prompt and exact updating of entries for Sophos
purchases along with complete TDS accounting.
Daily Bank Reconciliation: Perform daily bank reconciliation statements (BRS) to ensure all
transactions align with bank statements.
Banking Operations: Handle daily cheque deposit activities and ensure seamless processing with
bank representatives.
Journal Entries & Payments: Accurately process Journal Vouchers (JV) for expense bookings
and facilitate payment entries across company entities (Tally Satcom & Hercules).
Voucher Management & Audit Preparedness: Oversee physical filing, systematic indexing, and
end-to-end management of cash and bank vouchers with complete responsibility for audit
readiness.
📌 Account Executive (Navi Mumbai)
🏢 Satcom Infotech
📍 Navi Mumbai