Monthly closing as per schedule
Submission of outstanding statement to customers.
Collection of payment and reporting of outstanding
Maintenance of sales invoicing setup
Adjustment of customers Claims
Compliance of GST, TCS and TDS etc.
Collection Report & others
Implementation of TQM and O2C
Payment collection from customer as per agreed payment term
Submission of overdue statement for pending invoices.
Verification and updating of customer PO in ERP i.e. prices, taxes, HSN code, GSTN, sales agreement etc.
Issue of supplementary debit / credit note in line with latest POS.
Maintenance of customer price walk
Verification and preparation of GSTR-1 return.
Charging of TCS as applicable on invoicing.
Reconciliation of TDS deducted in payment by customer with 26AS Verification and preparation of GSTR-1 return.
Charging of TCS as applicable on invoicing.
Reconciliation of TDS deducted in payment by customer with 26AS
Deputy Manager • Delhi, India