Core Responsibilities:
Managing the books of account along with books closure at the month end and year end
MIS submission to the management
Reconciliation of related party, bank, GL and vendor on a monthly basis
Fixed asset management along with CWIP and Depreciation
Closing the audit related requirement
Co-ordinating with vendor for the invoices, checking and making the payment
Sharing cash flow requirement to treasury department on a monthly basis
Educational Qualifications And Certificates
Bachelor’s degree in Finance, Accounting or Business Administration
Master’s degree in Finance, Accounting or Business Administration, is preferred
Experience
A minimum of 2 years of relevant experience across the finance and/or accounting functions with special focus on project finance.
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