â˘General Ledger Accounting
â˘General Ledger reconciliation
â˘Treasury maintenance
â˘Adhoc bank payments
â˘Communication with the bank
â˘Confirmation of purpose for foreign inward remittances
â˘Bank reconciliation
â˘Coordination of IDPMS data for remittances and GST
â˘Daily reporting of cash flow
â˘Arranging Fixed Deposit with bank
â˘Maintaining Bank Mandate and updating the bank with changes in the bank users
â˘Monthly MCDR Reporting
â˘Supporting AP SSC team for clearance of blocked GRIR / MRBR and Tax payments
â˘ICB reconciliation
â˘FX gain/loss analysis (unrealized vs realized) â monthly
â˘Booking FX contract on hedging
â˘Assist in statutory audit, cost audit, transfer price audit, tax audit, internal audit
â˘Adherence to ICE control environment
â˘Update Diligent High bond control execution
â˘Support in all Tax assessment queries
â˘Preparation of monthly ICB, reconciliations
â˘Monthly reporting on MCDR
â˘Timely communication with banks for arranging remittances, confirmation of purpose code, bank mandate
â˘Prepare and record entries in SAP for monthly provisions
â˘Timely completion of bank reconciliation statement
â˘Maintaining required balances in bank accounts
â˘Regular update to GST team about GST input credits
â˘Support implementation of internal controls and statutory audit
â˘Timely support for data compilation for income tax assessment and GST audit
â˘Diligent High bond controls execution
â˘Support in company secretarial compliance documentation
Smiths Group
https://careers.smartrecruiters.com/smithsgroup2