1 - 6 years
2 - 3 Lacs
Posted:3 months ago|
Platform:
Work from Office
Full Time
Responsibilities: Responsible for handling the remittance, SOAs, crew wages, crew victualing, Crew Expenses and miscellaneous expenses. Timely clearance of the provident fund, Balance of Wages etc., update the same in software system & handling miscellaneous tasks as per the vessel accounting process Assisting in preparing the Statement of Accounts within the time frame and with accuracy and generation of reports. Assisting in processing the allotment of the seafarers accurately and on time. Timely and effectively replying to messages from seafarers and vessels. Assisting in preparation of allotments monthly / Balance of wages and leave wages and to be sent as per schedule. Assisting Preparation of monthly portage bill. Cash to master (CTM) request, Balance of wages deductions, vessels communication & Leave Wages Statement. Submission of Provident Fund /Union dues to Provident Fund authority for payment on or before due date. Updation of seafarers’ family insurance details on monthly basis and sending consolidated report to Head Office Assisting in preparation of Protection & Indemnity (P&I) statement within time frame on receipt of complete documents from manning department, travel department. Protection & Indemnity (P&I) to be sent to Head Office and further same to be updated in software accordingly. To complete accounting functions of the company pertaining to crew wages, crew victualing, Crew Expenses and miscellaneous expenses incurred on vessel’s accounts. To maintain continuous record of portage bills received from ships (soft copy). Maintain continuous record of allotments remitted by Head Office and ensure deductions made through portage bill (soft copy). Agent’s disbursement and expenses pertaining to crew and victualing. Ensure prompt settlement of above expense through the Head office. Maintain Statement of Accounts (SOA) showing ship wise expense, including expenses recoverable from floating staff and charters. To maintain continuous record of victualing and bonded stores account on all vessels. Keep record of all cash advanced to vessel by Head Office or vessel’s agents and forward necessary debit/credit vouchers to head office. To check, verify and complete & compile the expenses related to Protection & Indemnity (P&I) claim of seafarers for their vessels, record same in Phoenix. To maintain the records of family insurance deductions made
Executive Ship Management (ESM)
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My Connections Executive Ship Management (ESM)
Maritime / Shipping Management
200 Employees
18 Jobs
Key People
Navi Mumbai, Mumbai (All Areas)
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