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Position / Job Title (Proposed) | AM - Accounts Payable |
Designation | Asst Manager |
Function | Accounts |
Department | Accounts |
Reporting To (Title) | Deputy Chief Manager |
Superior's Superior (Title) | HOD - ACCOUNTS |
1) Job Purpose |
To be responsible for the payment process of the company and ensure funds of the Company are used only for the specific approved purpose. Responsible for data security and confidentiality of sensitive information of the Company. Responsible to comply all statutory commitments by all means - payment, return filing, certificate submission to the statutory bodies. To co-ordinate for the audit deliverables and assure smooth completion of audit and ensure expenses accounting reflect accurate in the Financial statements of the Company. |
2) Dimensions: | |
Other Quantitative and Important Parameters for the job: Budgets/ Volumes/No. of Products/Geography/ Markets/ Customers or any other parameter |
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3) Job Context & Major Challenges(What are the specific aspects of the job that provide a challenge to the jobholder in the context of the Unit/Zone |
Job holder is responsible to validate the payment processing initiated by the Respective Depart and release payment - Vendor payment + Branch Petty Cash + Branch Utility and Rent Payments. Periodic MIS to internal and external stakeholders and query handling pertaining to the same. Responsible for reconciliations, ledger reviews, initiate automation requests, preparing data dump to meet MIS requirements. The major challenges are even distribution of time to meet various payment requests that come up for release simultaneously. Explain the type of data requirement, consolidate it in required form and provide to auditors within timeline. Making the Branch managers and executives interactive and to adhere to the process is also a challenge to be overcome. Execute the plan of activities as per timelines. Make automation initiatives a continuous process and implement the same. |
4) Principal Accountabilities | |
Accountability | Supporting Actions |
Audit co-ordination | Audit data to be delivered to auditors as per their standards and given timeline. |
Payment release | Processing payment for the approved expenses and ensure no double payment, excess payment and strict adherence to the process. Responsible to Process & verify Vendor, Branch Petty-cash, Rent payments andrelated accounting entries. |
Accuracy | Periodic review & scrutiny of the ledgers by way of verification, DoA check, tax compliance, budget, book entry, actual payment release, bank instruction and investigate any abnormal ageing balances and initiate corrective action.Agreed TAT to be maintained. |
To complete accounting and payment activities for timely closure of books of accounts - monthly. |
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Statutory compliances |
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Automation initiatives |
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5) Job Purpose of Direct Reports | |
Responsible to Vendor, Branch Petty-Cash, Rental Payments process payment after accounting in Books. Responsible to collect, verify, check approval, account and process payment for Employee reimbursements - mobile, travel, conveyance, business promotion expenses. Branch Expense management - verify approval, budget, correctness and release payment on timely basis. Scrutinize Books of Accounts and ageing analysis report. |
Job ID: 145613213