28 Aug
|
VGP Marine Kingdom Private
|
Chennai
28 Aug
VGP Marine Kingdom Private
Chennai
Job Description – Accounts ExecutiveCompany: VGP Group
Department: Accounts & Finance
Designation: Accounts Executive
Location: VGP Head Office, Chennai
Reporting To: Assistant Accounts Manager / Finance Manager
Experience: 3–5 Years
Employment Type: Full time
Work Location: In Person
Job SummaryWe are looking for a responsible, detail-oriented, and experienced Accounts Executive to support the Accounts & Finance team in managing day-to-day accounting operations, accounts payable and receivable, bank and ledger reconciliations, statutory compliance, MIS reporting, audit support, and month-end closing activities.
The candidate should have sound knowledge of accounting principles and practical experience in GST, TDS, reconciliations, ERP/accounting software, and MS Excel. The role requires strong attention to detail, accuracy, coordination skills, and the ability to meet accounting deadlines.
- Key Responsibilities1. Accounting OperationsHandle day-to-day accounting transactions and ensure accurate accounting entries.
- Record receipts, payments, purchase invoices, sales invoices, expenses, and journal entries.
- Verify invoices and supporting documents before posting transactions.
- Maintain and review general ledgers and supporting schedules.
- Assist in monthly and year-end closing of books of accounts.
- Account for provisions, accruals, prepaid expenses, and other adjustments.
- Ensure proper classification and accounting of expenses and revenue.
- Coordinate with internal departments for accounting-related requirements.
- 2. Accounts PayableProcess and verify vendor invoices with appropriate supporting documents and approvals.
- Maintain vendor ledgers and outstanding statements.
- Prepare vendor ageing and outstanding reports.
- Assist in payment processing and vendor payment schedules.
- Reconcile vendor accounts and resolve discrepancies.
- Follow up with respective departments for pending invoice approvals and documentation.
- 3. Accounts ReceivableRecord customer invoices and receipts accurately.
- Maintain customer ledgers and outstanding balances.
- Monitor receivables and ageing reports.
- Follow up with concerned departments regarding overdue customer balances.
- Reconcile customer accounts and resolve differences.
- Assist in preparing collection and receivables MIS.
- 4. Bank & Ledger ReconciliationPrepare and review bank reconciliations on a regular basis.
- Reconcile customer, vendor, inter-company, and general ledger accounts.
- Identify and investigate reconciliation differences.
- Coordinate with concerned departments/banks/vendors/customers to resolve discrepancies.
- Ensure outstanding reconciliation items are followed up and cleared within the required timelines.
- 5. GST, TDS & Statutory ComplianceAssist in GST-related accounting, reconciliation, and data preparation.
- Support reconciliation of input tax credit with books and applicable GST records.
- Assist in TDS calculation, accounting, reconciliation, and documentation.
- Prepare and maintain data required for GST and TDS compliance.
- Assist in Professional Tax, PF, ESI, and other applicable statutory compliance activities.
- Coordinate with consultants and provide required information for statutory filings.
- Maintain proper statutory records and supporting documents.
-
- 6. MIS & Financial ReportingPrepare monthly accounting and MIS reports as required.
- Prepare vendor, customer, ageing, expense, revenue, and collection reports.
- Assist in preparation of Profit & Loss and Balance Sheet schedules.
- Prepare bank and cash-related reports.
- Assist in budget versus actual variance analysis.
- Provide accurate financial information to the reporting manager.
- Ensure timely submission of MIS and accounting reports.
- 7. Audit SupportAssist in statutory, internal, tax, and other audits.
- Prepare audit schedules and supporting documents.
- Provide accounting records and information required by auditors.
- Coordinate with internal departments for pending audit requirements.
- Assist in responding to audit queries and resolving observations.
- Maintain proper audit documentation
📌 Accounts Executive (Chennai)
🏢 VGP Marine Kingdom Private
📍 Chennai