12 Sep
|
Metro Brands
|
Mumbai
12 Sep
Metro Brands
Mumbai
Reconcile receivables from showrooms, corporate sales, and other channels with bank statements and system reports (MPR, SAP, ETP).
Manage daily cash accounting, card/UPI transactions, refunds, petty cash, and repair-related reconciliations.
Coordinate EDC machine installations for current stores, liaise with banks/vendors, and resolve operational queries.
Monitor and reconcile Gift Vouchers, Credit Notes, and redemption reports.
Manage annual asset insurance renewals, monthly stock updates, vehicle insurance, claims documentation, and MIS reporting
📌 Executive Finance And Accounts Mumbai
🏢 Metro Brands
📍 Mumbai