Associate - Financial Control

RIverForest Connections Private Limited
  • Mumbai
  • Confidential
  • 0-1 years
  • Views
  • 31 Jul 2018

  • Audit and Assurance

  • Banking - Retail
Job Description

Raising of Invoices and Advance Invoices. Validation of invoices and Cost Centre allocation to vendor invoices on Basware for further approvals, alongwith foreign currency Remittances where applicable. Providing month end Accruals for expenses to Accounts Payable and expense Allocation Keys to FINCON. Maintaining Invoice Register, Fund Status, etc. Filing of timely Returns with STPI, Maintaining of Invoice, Contracts and Compliance files. Follow-up of un-reconciled items in Bank Reconciliation Statement. Liaise with bankers and provide them the disposal instructions for inward remittances To assist in Compliance towards statutory renewals, registrations, etc. Providing information to FINCON Financial Accounting and Tax team on an ongoing basis. To contribute in various projects undertaken on an ongoing basis. Attending to routine and ad-hoc requests for data from the Management. To assist in preparation of Budget and Forecasts. Desired Candidate Profile: Qualifications C.A. B.com Excellent Communication Skills EXPERIENCE: 0-1 year


Job Posted By

Kavita Shermon
Associate Director