15 Sep
|
unicare facility management services
|
Bhubaneswar
15 Sep
unicare facility management services
Bhubaneswar
Certainly. For a facility management / housekeeping and security service company, the HR/Accountant role should cover both employee management and financial/accounting work.
Office HR / Accountant – Job Responsibilities
1. HR & Employee Management
Maintain complete employee records, including joining forms, ID proof, address proof, bank details, UAN, ESIC, and other statutory documents.
Prepare and maintain employee attendance, leave, overtime, and muster rolls.
Verify daily attendance received from supervisors/site in-charges.
Prepare monthly salary/wage sheets based on attendance and approved overtime.
Maintain employee joining, transfer, resignation, and full & final settlement records.
Coordinate recruitment, interview, selection, and joining formalities.
Issue appointment letters, ID cards, salary slips, warning letters, and other HR documents.
Maintain employee files and ensure all records are updated.
2. Payroll & Salary Processing
Prepare monthly payroll for housekeeping, security, and other staff.
Calculate basic wages, allowances, overtime, weekly off, holiday wages, deductions, advances, penalties, and net salary.
Verify salary calculations before payment.
Prepare bank transfer statements and cash salary statements, as applicable.
Prepare salary slips and distribute them to employees.
Handle employee salary-related queries and discrepancies.
3. PF, ESIC & Statutory Compliance
Maintain accurate PF and ESIC employee records.
Coordinate preparation and submission of monthly PF/ESIC-related information and returns.
Verify UAN and ESIC numbers and ensure new employees are enrolled where applicable.
Maintain statutory registers and supporting documents.
Coordinate with consultants/accountants for labour-law and statutory compliance.
Keep records of challans, returns, registrations, and compliance documents.
4. Accounts & Bookkeeping
Maintain daily accounting records of income and expenses.
Record purchase bills, expenses, receipts, payments,
and journal entries.
Maintain cash book and bank book.
Reconcile bank statements with company accounts.
Maintain accounts receivable and accounts payable records.
Track client outstanding payments and prepare follow-up statements.
Verify vendor bills and supporting documents before payment.
5. Client Billing & Invoicing
Prepare monthly service invoices for clients based on approved manpower, attendance, rates, and service agreements.
Verify GST, applicable taxes, and other invoice details.
Maintain invoice-wise payment tracking.
Follow up with clients for overdue payments.
Prepare outstanding/receivable reports for management.
Coordinate with the operations team to obtain attendance and service confirmation required for billing.
6. Cash & Bank Management
Maintain petty cash and record all cash transactions.
Prepare payment vouchers and receipts.
Process authorized supplier, employee, and other payments.
Maintain bank transaction records.
Perform regular bank reconciliation.
Ensure proper supporting documents are available for every payment.
7. MIS & Management Reporting
Prepare regular reports such as:
Employee attendance report
Salary/wage statement
PF & ESIC summary
Client billing statement
Outstanding payment report
Cash flow statement
Bank reconciliation statement
Expense statement
Site-wise manpower report
Site-wise salary/wage cost
Monthly profit/loss summary
Employee advances and deductions statement
8. Document Control
Maintain proper filing of HR and accounting documents.
Keep client agreements, quotations, work orders, invoices,
receipts, and payment records properly organized.
Maintain employee and statutory documents confidentially.
Ensure important documents are backed up digitally.
Provide documents to management, auditors, consultants, or government authorities when authorized.
9. Coordination with Site Supervisors
Collect attendance and overtime details from all sites.
Verify manpower deployment against approved requirements.
Check absenteeism, replacements, current joining, and resignations.
Coordinate with supervisors regarding employee shortages and attendance discrepancies.
Ensure attendance is submitted within the prescribed deadline for payroll and billing.
10. General Office Administration
Handle routine HR and accounts correspondence.
Maintain office records and registers.
Coordinate with banks, auditors, accountants, consultants, clients, and vendors.
Maintain confidentiality of employee salaries, company finances, and client information.
Perform other HR/accounts duties assigned by management.
Key Responsibilities at a Glance
AreaMain ResponsibilityHREmployee records & personnel managementAttendanceDaily attendance, leave & overtimePayrollSalary/wage calculation & processingPF/ESICRecords & statutory coordinationAccountsDaily bookkeeping & vouchersBillingClient invoices & payment trackingBankingBank transactions & reconciliationCashPetty cash & payment recordsMISMonthly management reportsComplianceStatutory records & documentationRecruitmentHiring & joining formalitiesCoordinationClients, supervisors, employees & vendors
Suggested designation: HR & Accounts Executive / HR & Accountant / HR & Accounts Officer
For a small or medium-sized facility-management company, I would recommend making the position responsible for HR + Payroll + Client Billing + Basic Accounts + PF/ESIC coordination, while final financial approvals remain with the management.
📌 HR Cum Accountant (Bhubaneswar)
🏢 unicare facility management services
📍 Bhubaneswar