Posted:4 weeks ago|
Platform:
Work from Office
Full Time
Entering incoming invoices in accounts payable system Payment verification and Processing Payments in SAP Bank account reconciliation Review invoices with appropriate agreements prior to payment and Monitor all vendor agreements. Reconcile the accounts payable ledger to ensure that maintaining accurate financial records. Journal entries and General-ledger accounting as needed. Responds to vendor queries related to payments. Various month-end and year-end close activities from GL accounting, reconciliations, accruals activities. Fixed asset accounting, monthly depreciation working and Fixed asset register maintenance. Review, analyse and process all capital asset disposal and capital asset transfer requests. Maintain fixed asset register. Reconciliation of TDS/ TCS Liability with GL, and ensuring timely payment Reviewing, preparing, reconciliation and ensuring timely filing of TDS / TCS Returns (26Q, 27Q & 27EQ) Solving queries raised by vendors in relation to TDS mismatch by working with the relevant stakeholders engaged in the process. Ensuring end-to-end control with respect to all TDS / TCS compliances. Assists with other accounting functions and tasks on an as-needed basis. Assists with annual audits, includes preparation of audit schedules. Assists in accounting projects.
Nippon Paint
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