17 Aug
|
Gopal Decorators
|
Mumbai
17 Aug
Gopal Decorators
Mumbai
Key Responsibilities
Day-to-Day Financial Operations
Maintain and update general ledgers, journal entries, and financial logs accurately.
Process daily sales reports, front desk cash receipts, online payment gateway settlements, and POS transactions.
Reconcile daily room revenue, food and beverage sales, and extra service charges against property management system (PMS) reports.
Accounts Receivable & Payable
Generate and issue invoices for corporate accounts, group bookings, and travel agencies; follow up on outstanding receivables to ensure timely collection.
Verify, process, and schedule payments for vendor invoices, utility bills, inventory purchases, and contractor services.
Maintain vendor files, resolve billing discrepancies, and monitor cash outflows.
Bank Reconciliation & Cash Management
Perform regular bank account reconciliations and monitor daily cash flows.
Manage petty cash disbursements, audit supporting receipts, and maintain accurate balance logs for property operations.
Reporting, Tax & Compliance
Assist in the preparation of monthly, quarterly, and annual financial statements (Income Statement, Balance Sheet).
Prepare documentation for tax filings (e.g., GST/sales tax, TDS, withholding taxes) in accordance with local regulations.
Support internal and external audit processes by organizing financial records and supporting documents
📌 Accountant/ Accounts Executive (Mumbai)
🏢 Gopal Decorators
📍 Mumbai