Location: Lower Parel Days of Working: 5 days JD for Junior Manager Business Accounting Processing of payments to sales distributors within TAT and keeping the relevant documents & records as per compliance. Validate computations by Channel Support and track the payments vs. provisions in accordance with campaign notes along with appropriate accounting in TB. Manage the agency fee recoverable amounts with GL and the pending cases. Carry out premium collection Transfers on a daily basis & resolve issues in respect of reconciliations, EOD checks & Deposit reconciliations. Bank Reconciliation of Commission Payout bank account and Open Reconciliation items & Monthly publish MIS on Un-encashed cheques. Ensure timely remittance of taxes and compliance thereon - GST remittance, GST invoices, TDS & Professional Tax in respect of sales distributor payouts Provide assistance for timely GST computation and automation Projects/Automation of manual activities Qualification : B.Com , M.Com (desirable).