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Assistant Manager - Accounts & Finance @ Bitbybit Solutions

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 Assistant Manager - Accounts & Finance

Job Description

     

    • Issuing/Verifying Quotations/Purchase Order for all business verticals.
    • Collecting/following up for the Data from the concerned departments for preparation of Invoices or any other report (AG Report, Penalty Reports etc.)
    • Preparation of MIS report (Monthly P & L, Monthly Budget etc.) periodically as well as when required.
    • Verifying Bank Book, Cash Book, Journal Books, Purchase Book, Sales book etc.
    • Approval of payments by verifying the supporting receipt shared by the depositor through emails by uploading the same on HKMS.
    • Handling Partners' request to transfer money: Recharges in SCO's other Service Suppliers e wallets on Sco's request from HKMS (e.g. IRCTC, etc.); Transfering money to SCO's/Other support partners' (SA, BA, etc) bank accounts registered with us on their request on HKMS
    • Reconciliation of the Wallet Transactions with HKMS Transactions.
    • Checking of Petty cash of regional teams with all supportings and resolving the issues or excess usage if any.

     Data Entry and Accounting

    Making/Verfying Daily Data entry (Purchase, Sales, Bank, cash, Journals, Debit Note, Credit Note).

    Making necessary entries for completion of monthly accounting (Income & expenses, receipts, salary, payments etc.).

    Preparation/Verification of vouchers with the relevant supporting duly attached.

    Daily/Weekly/Monthly/Quarterly/Annually Reconciliation of transactions on HKMS (Portal) and Data entered in Tally territory wise and as whole.

     Supplier Receivable Management

    • MIS Verification and Preparation of the Invoices.
    • Tallying the reconciliation statement with the client through mails, calls, sending the hard copies or meeting in person.
    • Reconciling, coordinating , acknowledging and following up the clients and departmental heads for pending payments.

     Vendor Payment Management

    • Tallying the reconciliation statement with the departmental heads through mails, calls, sending the hard copies or meeting in person.
    • Coordinating with departmental heads for the payments and reconciliation.
    • Verifying all the Accounting SOP is followed with respect to making a vendor payments. (PO, Agreement, Hard Copy of Invoice, Approvals etc)
    • Reconciliation of HKMS transactions and HK e wallets on daily weekly/monthly/annually of the partners.
    • Daily Lead Validations on HKMS for all enquiries which reaches at PC Finance Level.

     Banking Management

    • Bill payments or any other online transaction. (Credit card, electricity, Phone, Internet, Mobile etc.)
    • Handling Bank Activities (Banking transactions, Sanctions, DP Statements etc)
    • Recharges in the e wallets of the service suppliers on the basis of certain defined logic, Analysis of the transaction reports and escalations (if any)

     Fund management 

    • Sending MIS of Fund Position of all Banks to the reporting authorities.
    • Meeting with the Bank officials for Parking money in temporary or long term instruments/plans
    • Meeting and processing the Financing activity for the company (Loan, CC etc)
    • Cash Flow Management Activities.
    • Meeting periodically with Bank's concern authorities of existing company accounts and creating new relations like opening new account, CC/OD limits

     Employee Salary, Management

    • Reminder for Timely receipt of Payrolls and Reimbursements.
    • Verifying and taking necessary approvals on the reimbursements forms with supporting documents duly attached as per the policy.
    • Processing Salaries as per the payroll and reimbursements of Employees for payments.

    Directors Remuneration

    • Computation of Directors income on yearly basis as per Income Tax rules.
    • Processing Directors Remuneration/perquisites.

    Tax & Compliance Management

    • Preparation of working sheet of GST & TDS (All statutory liabilities).
    • Return filing of service tax (half yearly), VAT (Quarterly) & TDS (Quarterly) GST (Monthly).
    • Preparation of Form 16 & Form 16A.
    • Income Tax Return Filling (ITR) (Company & Directors).
    • Timely Tax Payments (PT, PF, ST, VAT, TDS, etc.).
    • Tax refunds follow up.
    • Working & Handling Tax Compliance Notices - IT,TDS,ST,PF, etc.
    • Any other Report/documentation (Including ROC Reports) as per the requirement.
    • Balance sheet & P and L Management
    • Scrutiny of all entries related to P/L account & Balance sheet on monthly/quarterly/annually territory wise and as whole.
    • Making entries related to account finalization. (Provision, depreciation, taxation etc)
    • Computation of annual P/L account statement.
    • Filing of ITR.
    • Preparation of reports (Directors, Auditors, 3CA, 3CD, Balance sheet, Profit & Loss, Schedules, Notice, Notes to Account,etc)
    • Handling all Audit queries, supporting the auditors for implementing and rectifying the accounts
    • Preparations and submission of Actual with comparison to the budgeted.
    • Discussing, comparing and working on the financials and techniques to increase the financial strengths/resolve errors detected.

     

    • Hands on experience with Tally Software, MS-Excel, MIS reporting, Filing, GST etc.

Employement Category:

Employement Type: Full time
Industry: FinTech
Role Category: Finance / Accounts / Tax
Functional Area: Not Specified
Role/Responsibilies: Assistant Manager - Accounts & Finance

Contact Details:

Company: Bitbybit Solutions
Location(s): Mumbai

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