To ensure that all payments to the Vendors are made on time as per the set processes.
To deduct LBT from Vendor payments on timely basis.
To ensure timely payment of all statutory dues (ESIC/ MLWF / Electricity / Property Tax etc.)
To ensure that the Sales Cash is deposited safely in the Bank Account on daily basis and to reconcile the same.
To manage the petty cash & arrange for change.
To ensure that Credit Card amount gets credited in the Bank Account the next day and to liaison with the Bank in case of difference in amount.
To coordinate with Cash Officers in case of non-closure of a Batch of EDC Machine.
To scrutinize the general ledger entries regularly.
To do provisions for monthly, quarterly & yearly basis.
To coordinate closely with Regional Office or Head Office for the various matters such as Vendor payment & MIS.
To keep all the records updated as per the process.
Keyskills: bank reconciliation accounts payable accounts receivable
Avenue Supermarts Limited Company Profile :- Avenue Supermarts Ltd (ASL) owns and operates hypermarkets under the brand name D-Mart. Kindly visit the website : www.dmartindia.com