30 Aug
|
Rahi Gateways
|
New Delhi
30 Aug
Rahi Gateways
New Delhi
Job Summary
Maintain accurate accounting, invoicing, bookkeeping, reconciliations, receivables, payables and financial documentation for domestic and international operations.
Core Responsibilities
- Maintain Indian accounting records and support GST/TDS documentation, reconciliation and return-related workings.
- Maintain international branched accounting data, supplier accounts, operating expenses and international vendor reconciliations.
- Track foreign-currency transactions, international remittances and settlement documentation.
- Coordinate with the Tunis office, local accountants/consultants and senior finance management for reporting and inter-company reconciliation.
- Record sales, purchases, receipts, payments, journals and adjustments accurately and on time.
- Maintain customer/vendor ledgers, booking-wise financial records and supporting documents.
- Manage customer advances, outstanding receivables, supplier advances and payable schedules.
- Perform bank reconciliations and investigate unreconciled transactions.
- Prepare and verify customer/supplier invoices, expense vouchers, reimbursements and petty-cash records.
- Assist in month-end, quarter-end and year-end closing, ledger scrutiny, accruals, provisions and trial-balance review.
- Prepare basic MIS, outstanding, expense and booking-wise receipt/payment reports.
- Support audits,
statutory review and internal financial-control procedures.
- Maintain travel-industry accounting for hotels, DMCs, transporters, group departures, FIT bookings, cancellations and refunds.
Qualification & Experience
- Qualification: B.Com / M.Com; MBA Finance or equivalent Accounting/Finance qualification may also be considered.
- Experience: Minimum 5 years of relevant experience in Accounting and Finance.
Technical / Functional Skills
- Solid working knowledge of Tally / ERP / Accounting Software.
- Good MS Excel skills, including formulas, reconciliation and reporting.
- Accounts Receivable, Accounts Payable, bank and ledger reconciliation.
- GST/TDS knowledge required for Delhi-based India responsibilities.
- International / foreign-currency exposure preferred
Language Requirements
- Delhi: English and Hindi; French is advantageous for international branches.
- Conakry: English required; working French highly preferred.
Preferred Candidate Profile
A commercially minded Accountants who can independently manage the Finance & Accounts function of an overseas operation. Long term commitment for at least 15-18 months for the company.
Perks and Benefits for International Branches: Official travel, Accommodation and Food
📌 Accountant (New Delhi)
🏢 Rahi Gateways
📍 New Delhi