Dear Candidate,
Greetings from Emmbi Industries
Position: Asst. Manager - Accounts & Finance
Location: Kurla (W), Mumbai
Educational Qualification: Any Graduate
Job Profile:
1. Banking Operations & MIS
- Compute and reconcile bank interest workings across all working-capital and term facilities, and maintain supporting MIS.
- Coordinate with banks on a daily basis for routine operations, query resolution and timely closure of audit and KYC requirements.
- Submit Purchase Orders to banks against disbursements and maintain a complete trail of disbursement documentation.
- Maintain comprehensive MIS for Bank Guarantee issuances, including entries, renewals, claims and closures.
2. Forex & Treasury Management
- Manage Forex booking, cancellation and utilisation in line with the company's exposure policy.
- Book Forward Contracts preparing supporting documents, bank declaration forms and the underlying sales-order linkage as required by RBI.
- Handle Export Realization intimating exchange rates and conveying disposal instructions to the negotiating bank in a timely manner.
3. Export Documentation & Realization
- Prepare and follow up Packing Credit (PCFC/INR) applications with banks for timely pre-shipment disbursement.
- Coordinate with banks for issuance of e-FIRC for all export inward remittances.
- Execute e-BRC bill lodgement, attend bank visits and resolve queries raised by the bank during BRC generation.
- Review the outstanding Packing Credit and export-bills report received from banks; track and explicit ageing items.
- Process export logistics bills, including freight invoices and CHA / C&F; charges, and ensure timely vendor payments.
- Prepare complete Export Post-Shipment LC documentation sets — Covering Letter, Bill of Exchange, Commercial Invoice, Packing List, Certificate of Origin, GSP Form A, GSP Form AI (ASEAN countries), Insurance, Fumigation Certificate and Beneficiary Certificate — in line with LC terms.
- Process export sales agency commission payments and reconcile against underlying sales orders.
- Work on EDPMS outstanding data, follow up with banks and ensure timely closure of pending shipping bills.
4. Imports & Outward Remittances
- Execute outward remittances and complete documentation — Form 15CA / 15CB, Form A2 — and follow up for SWIFT message copies of remittances.
- Handle import payment documentation, including Form A1 and other bank formalities, in compliance with FEMA / RBI guidelines.
5. Letters of Credit & Bank Guarantees
- Manage LC opening, LC prepayment, supporting documentation, coordination and follow-ups with banks and internal teams.
- Maintain the LC Interest Sheet, calculate accrued interest and update Rate of Interest (ROI) movements on a periodic basis.
- Drive Bank Guarantee issuance and follow-ups — coordinating with banks and internal stakeholders for documents and details, and ensuring BGs are issued by banks within the committed due dates.
If interested please share your ptofile on
[email protected]
Regards
Himali Amin
Sr. Executive - HR
📌 Looking For Asst. Manager - Accounts & Finance _ Packaiging Co,kurla (Mumbai)
🏢 Emmbi Industries
📍 Mumbai