KEY RESPONSIBILITIES
- ACCOUNTS PAYABLE OPERATIONS MANAGEMENT
- Manage the complete accounts payable cycle from invoice receipt to payment disbursement
- Oversee processing of 2000+ construction-related invoices monthly including material suppliers, subcontractors, and service providers
- Ensure accurate job costing by verifying proper allocation of expenses to respective projects and cost centers
- Review and approve payment runs (weekly / bi-weekly) ensuring adherence to payment terms and cash flow requirements
- Manage vendor master data, ensuring accurate vendor setup with proper GST registration verification and Form 16 documentation
- Reconcile vendor statements monthly and resolve discrepancies promptly
- Prepare and review aged payables reports and manage outstanding payment schedules
- CONSTRUCTION-SPECIFIC PAYABLES
- Process and manage subcontractor payments with proper verification of work completion certificates
- Handle retention money accounting for subcontractors (typically 5-10% of contract value) and ensure timely release post completion
- Process Running Account (RA) bills for works contractors ensuring GST compliance
- Coordinate with project managers for payment approvals based on work progress and completion certificates
- Manage advance payments to suppliers / contractors and track adjustment against invoices
- Handle material procurement payments with proper verification against purchase orders and goods receipt notes
- GST COMPLIANCE & TAX MANAGEMENT
- Ensure 100% GST compliance for all construction services and material procurement
- Verify GST invoices for correctness of GSTIN, HSN / SAC codes, and applicable tax rates
- Manage input tax credit (ITC) reconciliation and maintain proper documentation for claims
- Coordinate GST filings (GSTR-2A / 2B reconciliation) with tax team
- Handle TDS deductions on contractor / professional payments and coordinate TDS return filing
- Maintain vendor compliance documents including GST certificates, PAN, and other statutory registrations
- Ensure proper accounting of retention money under GST regulations
- TEAM LEADERSHIP & SUPERVISION
- Lead, mentor, and supervise the AP team (2-4 members including AP Assistants)
- Assign work, monitor workload distribution, and ensure high productivity levels
- Conduct performance reviews and provide ongoing training and development
- Implement cross-training initiatives for business continuity
- Foster a collaborative and high-performance team culture
- PROCESS IMPROVEMENT & CONTROLS
- Develop and implement AP policies, procedures, and internal controls
- Identify opportunities for process automation and efficiency improvements
- Establish and monitor KPIs including invoice processing time, error rates, and payment cycle time
- Ensure strong internal controls to prevent duplicate payments, fraud, and errors
- Drive vendor payment automation and electronic payment initiatives
- FINANCIAL REPORTING & MONTH-END CLOSE
- Lead AP activities during month-end and year-end closing processes
- Prepare monthly AP aging reports, cash flow forecasts, and payment projections
- Record accruals for work completed but not yet invoiced
- Coordinate with project accounting team for proper revenue and cost matching
- Support external and internal audits by providing documentation and explanations
- VENDOR & STAKEHOLDER MANAGEMENT
- Build and maintain strong relationships with key vendors, subcontractors, and suppliers
- Resolve escalated vendor disputes, payment issues, and invoice discrepancies professionally
- Negotiate payment terms and assist procurement with vendor selection when needed
- Serve as primary point of contact for vendor payment inquiries
- Collaborate with procurement, project management, and finance teams
- BANK GUARANTEE & SECURITY MANAGEMENT
- Track bank guarantees issued to clients and received from subcontractors
- Monitor expiry dates and coordinate renewals / releases
- Maintain register of security deposits, margin money, and fixed deposit linkages
QUALIFICATIONS & REQUIREMENTS
Educational Qualifications
Bachelor's degree in Commerce ( B.Com) - MandatoryMBA (Finance) or M.Com – PreferredProfessional qualification (CA Inter / ICWA / CMA) - Highly Preferred Experience RequirementsMinimum 5-8 years of progressive experience in accounts payable functionMandatory : At least 3-5 years of experience in construction industry accounts payableProven experience managing AP teams (2-5 members)Strong understanding of construction accounting including job costing, retention, and RA billsExperience with subcontractor payment management and vendor coordinationTechnical Skills
Mandatory : Expert knowledge of GST compliance for construction services (including 1%, 5%, 18% rates)Strong understanding of TDS provisions (Section 194C for contractors, 194J for professionals)Proficiency in ERP systems - SAP experience highly preferredAdvanced Microsoft Excel skills (Pivot tables, VLOOKUP, macros)Knowledge of construction-specific terms : RA Bills, retention money, mobilization advances, running billsFamiliarity with percentage-of-completion accounting methodsSoft Skills & Competencies
Strong leadership and team management abilitiesExcellent analytical and problem-solving skillsHigh attention to detail and accuracyAbility to work under pressure and meet tight deadlinesStrong communication and interpersonal skillsVendor negotiation and relationship management skillsProcess improvement mindset