Industry: Construction / Infrastructure
Handle complete accounting operations for construction/project sites, ensuring timely and accurate recording of financial transactions.
Manage site accounting activities, including cash/bank transactions, bills, vouchers, expenses, advances and reconciliations.
Maintain project-wise books of accounts and ensure proper allocation of expenses to respective projects/cost centres.
Verify and process vendor, subcontractor and supplier bills as per company policies and project requirements.
Handle subcontractor accounting, including RA bills, deductions, advances, retention money, recoveries and reconciliation.
Maintain Petty Cash and Site Cash and ensure proper supporting documents for all expenditures.
Perform regular Bank Reconciliation, Vendor Reconciliation and Ledger Reconciliation.
Monitor and reconcile advances to employees, vendors and subcontractors.
Assist in preparation of monthly MIS, project-wise profitability statements, expense reports and other management reports.
Pay: ₹35,000.00 - ₹45,000.00 per month
Advantages
Provident Fund
Work Location: In person
📌 Sr Accountant Mancheswar
🏢 Shivam Condev Private
📍 Mancheswar
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