Purpose: Manages two core areas — store/inventory control and revenue reconciliation, with focus on accurate cash and payment records.
Key Responsibilities:
Inventory:
- Maintain stock levels, raise purchase requests/orders, verify vendor invoices
- Conduct weekly and monthly stock counts; reconcile with reports
- Follow FIFO, minimize wastage, rotate slow-moving stock
- Inspect incoming goods against specs; manage rejections and storage
- Ensure cleanliness and pest control in storage areas
- Prepare monthly consumption reports; train store staff; maintain licenses
Revenue & Cash:
- Handle daily cash collection, petty cash, and payment reconciliation
- Perform daily close and post revenue entries
- Verify and skim cash, check for counterfeits
- Maintain float/petty cash balances; prepare cash for banking
- Support Head Office on finance queries
Interactions: Reports to Accounts Manager and Unit Head internally; liaises with banks and vendors externally.
📌 Finance Executive (Mumbai)
🏢 TrueBlue India
📍 Mumbai
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