19 Aug
|
RR Thulasi Builders (I
|
Chennai
19 Aug
RR Thulasi Builders (I
Chennai
● Manage the project site's petty cash and daily cash transactions.
● Receive and disburse cash against approved payment vouchers and supporting documents.
● Maintain the Cash Book, Petty Cash Register, and daily cash records.
● Verify bills, invoices, vouchers, and supporting documents before processing payments.
● Process petty cash reimbursements and submit reimbursement requests to the Head Office.
● Disburse approved labour wages, employee advances, and reimbursements in coordination with HR and Accounts.
● Verify attendance records, wage sheets, and payment authorizations before wage disbursement.
● Coordinate with banks for cash deposits, withdrawals, cheque collections, and other banking transactions.
● Perform daily cash verification and reconcile physical cash with accounting records.
● Prepare Daily Cash Reports, Weekly Petty Cash Statements, Monthly Cash Utilization Reports, and cash reconciliation statements.
● Maintain records of cash payment vouchers, receipt vouchers,
bank transactions, employee advances, and labour wage registers.
● Coordinate with Project, Accounts, HR, Purchase, Store, and Site Engineering teams for payment-related activities.
● Support internal and external audits by maintaining accurate financial documentation.
● Ensure compliance with company financial policies, internal controls, GST/TDS documentation, and statutory requirements.
● Safeguard cash, financial records, and confidential company information.
Qualification
● B.Com or Bachelor's Degree in Commerce/Accounting.
● Diploma in Accounting or Finance is acceptable.
● Knowledge of Tally ERP/Tally Prime is preferred.
Experience
● 2–5 years of experience in cash handling, petty cash management, and accounting, preferably in construction, infrastructure, or EPC projects.
Work Location: In person
📌 Accounts Staff _ Site (Chennai)
🏢 RR Thulasi Builders (I
📍 Chennai