Key Responsibilities :
Process payments for import of material and services
Obtain tax documents for processing import service payments
Tracking and closure of IDPMS open items on both ‘bill of entry’ and ‘outward remittances’
Processing EDF / GR waiver transactions for samples, testing and other purposes
Be updated to the latest FMEA guidelines on import transactions and ensure compliance.
Remittance of TDS on a monthly basis and filing of Quarterly TDS Return.
Updating of bank account statements including reverse upload to ERP system
Accounting and reconciliation of books of account and bank statements
Obtain bank guarantees and letter of credits as per business requirements
Contribute to and enhance overall risk management initiatives taken by Treasury
Liaise with internal and external auditors for various audit processes
Support and resolve operational issues faced by various skill teams for banking requirement
Maintenance of authorized signatories and online user administration
Education : B. Com / M. Com / M.B.A / CMA
Experience :
5-10 Years post qualification in Finance
Experience in processing import payments & overall banking activities
Manager Treasury • Chennai, Tamil Nadu, India