Qualification-Inter CA, ICWA, or MBA
Job Description :
Accounting Process / Policies / Procedure
- Ensuring adequate controls are in place I,e Policies, Procedure , Process & Guiding team on entire financial discipline
- Scrutinising , Controlling & Authorisation of Direct & Indirect Expenses
- Keep vigilance about Indirect exp's and monitoring costs regularly with budgeted costs and reduce it wherever possible
- Supervising & guiding team on all financial related issues
- Ensuring Team follow below SOP with every event
a) JOB code is created for every event
b) Client PO / Advances to be received before an event (without PO / agreement / Advances execution of an event will be only at director's discretion )
c) Ensuring pre event related pay outs are planned in advance so that cash flow can be managed efficiently or funds can be arranged accordingly
Evaluating Vendor advances & cash advance requests based on criticality / type of supplier / type of service etcChecking Daybook and ensuring that entries that are passed by team are accurate and as per accounting & audit standardsWeekly meeting with finance team on internal challenges if any , delay's on deliverables , closures, procedures, etcSALES / P&L Accounts / Imprest
SALES INVOICES
Checking Estimate / Cost Sheets before raising invoices and ensuring calculations are error freeAggressive follow up on Pending invoices that are more than 7 Days old
If the supporting's are to be provided along with invoice ensuring that ,they are error proof and also validated by CS / Finance Lead before submitting to ClientPOST P&L accounts
Ensuring post P&L account are submitted with 100% hard copies of the bills and duly signed by HOD / CS / Ops headProviding Pending Post P&L accounts list that are more than 7 days oldVerifying Itemised post P&L account with actual bills and highlighting non profit making itemsEnsuring that below 30% Gross profits events are scrutinised and accepted only after explanation and director's approval'sPreparing weekly statement of missing bills as per the P&L account & follow up till they submit itCash Statements / Imprest
Monthly Employees Advance ageing highlighting long pending advances to Mgmt. before releasing their salariesEnsuring all cash statements are duly signed by CS / Ops / HOD and matching with Post P&L accountEnsuring all cash statements amounts are cross checked with physical bills and informing and dis allowing expenses of missing billsJournal / Accounts Receivable / Accounts Payables
Journal / Purchase
Ensuring all purchase bills are accounted on time & bills are as per accounting & audit standards and duly approved by CS / Ops HeadEnsuring to take maximum benefit of GST input by following up for pending vendor bills and accounting before GST paymentEnsuring team does appropriate filing of all documents and same are ready available as and when -Mgmt. / Govt agency require itClient Receivables
Over due Receivables remainder mails / discussion with Team / Directly follow up with Client, whichever is necessary.Escalation meeting's with Directors on Critical collections if the dues are more than agreed credit periodVendors Payments
Ensuring that Vendors are paid on timely basis after receiving of full monies and post P&L accountCreditors ageing Report - planning pay-outs , sitting with team on Debit balances, ensuring expenses are booked timely by finance teamMIS / Budgets
Weekly Business Report & cash flow statement updateMonthly P&L account - Indicating Sales ,Expense, Profits & Leader boardClient wise Billing / Profits - Monthly / Quarterly / Half yearly / AnnuallyBudgeted vs actual variance reports- Monthly / Quarterly / Half yearly / AnnuallyBudgeted P&L with detailed expenses (For New Financial year )Finalisation of Books of account with all respect and ensuring full support during closure of the BooksAny other MIS reports that needed as per Mgmt. requirementStatutory Compliances / Auditing
Taxes : TDS / GST
Ensuring all TDS entries and deductions entries passed by Team are error free and under appropriate section
Ensuring monthly TDS liability branch is calculated on time and send it HO for payment
Ensuring GST inputs are taken at Maximum extent to reduce the monthly liability
Ensuring money reserved for GST payment and Taxes are paid before due date
Guiding Business / Ops Team on GST and other Taxes guidelines and ensuring that no financial losses occur while submitting estimates / cost sheets to Clients
26AS Reconciliation & speaking to Clients in case of mis match
Auditing
Internal Audits- Co -ordination with Auditors & extending help and solving queries raised by auditors
Minimising audit queries over the time and putting process to reduce it
Statutory Audits - necessary support to HO team during the audit
Payroll - Ensuring 100% investments proofs are provided by Branch employees before releasing Feb & March Salaries
Others
Petty Cash Mgmt. / Physical Cash Verification
15CA / CB and other co-ordination for intl Payments
Vendor Registration if any
Keeping check on other compliances like shop & establishment , PT or any other local govt renewal / norms
Ensuring asset insurance / health policy is renewed on time
Inter Branch Reconciliations
Vetting through Clients Contracts / Agreements etc
Office Management / Attendance / Administration / HR related work
Credit Card Reconciliation of Directors and notifying them on missing bills
Any other Reports / Work as and when assigned by HOD