Profile summary:
Prepare bank reconciliations and accrual entries
Monitor job progress and any potential overruns against purchase orders or
budgets
Prepare journal entries (capitalized interest, construction loan interest,
construction loan advances, incidental operations, capitalized operations
expenses)
Job Costing and WIP, bank reconciliations, account analysis and journal entries
Accounts Receivable and cash activity postings, light cash management
General ledger through financial statements support
Monthly and quarterly financial statement preparation
Complete control of the general accounting functions and day to day entries in
SAP HANA
Finalization of accounts preparation of P&L and Balance Sheets and ensuring
timely audit and filing of Income Tax return.
Handling Tax returns. Deducting TDS from the payments made and ensuring
timely payment to the government treasury along with timely filing of TDS
return and issue of TDS certificates
Responsible for project related cost accounting activities
Scrutinize all bills of works/materials/services etc. collaborate with the budget
and its provisions and pass the bills.
Detailed analysis of project cost and recommending cost optimization ways and
means
Maintain cost of every project and prepare cost to complete reports periodically
Prepare, monitor and control cash out flow reports
Purchase order/work order/service order control
Co-ordination between procurement, contracts, billing, accounts and finance
department in HO
Coordinating between HO and site for project accounting-related matters like
material accounting and reconciliation, capitalization, etc.
Co-ordination for issuing LCs, bank document, etc. for capital imports
Maintaining vendor bank guarantee details and follow up for renewal
Monthly reporting on actual project cost & commitments against budget
Preparation of use fixed assets register capitalization assets coding etc.
Work Experience :
Assistant Manager Accounts
2021-05-17 - Presently working