Responsibilities-
Manage end-to-end receivables and bank reconciliations across showrooms, corporate sales, and raw material transactions.
Perform NPR/MPR, showroom cash deposit, ETP, and SAP reconciliations to ensure financial accuracy.
Process daily card/UPI transactions, refunds, petty cash accounting, and repair income reconciliations.
Coordinate EDC machine installations for current stores, including vendor alignment and bank terminal configuration.
Manage payroll statutory compliance including PF, ESI, gratuity, commissions, advances, and full & final settlements.
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📌 Account Receivable Executive Finance And Accounts Mumbai
🏢 Metro Brands
📍 Mumbai
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