15 Aug
|
Vetic
|
Gurugram
What youll do
Cash Management & Reconciliation
Manage and oversee the daily closing of books across all Vetic Stores.
Reconcile sales, payments, cash collections, and bank deposits daily.
Match cash register totals with sales reports and bank statements to ensure accuracy.
Track and follow up on all overdue amounts; ensure closure in coordination with Store Teams, Finance, and Customers.
Discrepancy Resolution
Investigate and resolve discrepancies in sales, payments, or cash balances.
Highlight and escalate issues to relevant teams for corrective action.
Ensure timely resolution to maintain financial accuracy and process compliance.
Reporting & Compliance
Generate and maintain daily/weekly reconciliation reports.
Provide detailed insights on discrepancies and their resolution status to senior management.
Ensure adherence to internal financial policies and audit requirements.
What you’ll bring
Bachelor’s degree in Accounting, Finance, or related field
3–6 years of experience in cash management, reconciliation, or store finance operations.
Solid analytical and problem-solving skills with attention to detail.
Proficiency in MS Excel / Google Sheets; exposure to ERP or POS systems preferred.
Ability to coordinate effectively across multiple teams (store ops, finance, customer service).
📌 Finance Operations Executive Gurugram
🏢 Vetic
📍 Gurugram