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JLL

Assistant Manager Finance

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  • Posted 4 days ago
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Job Description

Finance Position

  • Maintain record of all invoices and maintain the monthly expenditure.
  • To carry out Quarterly monthly audit of all expenditures.
  • To ensure proper accounting of diesel stores.
  • Make a provisional statement of expenditures at the end of every month.
  • Check the correctness of all bills submitted by manpower & AMC agencies. To ensure that all bills are supported by proper work orders, agreements, contracts, etc.
  • To ensure that bills of all parties are received timely and processed accordingly.
  • To intimate site Head ( SPOC) 45-60 days prior to expiry of any contracts, agreements, LOIs, etc. with respect to manpower services, AMCs etc.
  • To ensure that the draft LOIs, W.Os, Contracts are reviewed and collated for desired inputs as required by CD.
  • To collate data of electricity bills and check the same for correctness.
  • To raise the draft electricity bills to Finance.
  • To peruse the electricity bills for correctness and reconcile the electrical consumption units and check the tariff, arrears, etc.
  • To seek notifications for revision in tariff or in the rates of fuel surcharge adjustment and make a case for writing to clients for the recovery of the said charges.
  • To ensure daily profit and loss statement is made for the electricity purchased through short term open access system.
  • To liaise with Power trading agency for transfer of funds, NOC charges, etc.
  • To ensure monthly statement of profit & loss is generated and put up to management.
  • To ensure timely distribution of CAM & Electricity bills to Clients.
  • To ensure that the record of electricity units, cost, area billed, CAM amount billed on monthly basis is maintained.
  • The record of maintenance expenditure on the basis of working hours of the clients is to be maintained and cost justified accordingly.
  • To coordinate for all audits- internal as well as external for expenditures
  • to derive CAM cost on monthly basis and coordinate the same with finance for any data update.
  • To do reconciliation with site billing office and the finance team at HO to ensure that all the bills are processed and booked accordingly.
  • To ensure accounting of all day to day expenditures and booking same in SAP & CAM sheet appropriately.
  • To ensure that all the bills of vendors are processed timely, MIGO to be done in SAP and coordination to be done with site Accounts team.
  • To follow up with clients for recovery of outstanding payments pertaining to electricity, CAM , etc.
  • To maintain an updated ledger of outstanding dues in consultation with finance team.
  • To check the day to day attendance of all vendors and make proper notation thereon.
  • To ensure that all expenditures are booked as per the cost code mentioned in the indents.
  • Coordinate with finance & BD teams for justification of CAM expenditures to the clients.
  • To coordinate with billing office for reimbursement of petty expenses of repair/purchase, conveyance, etc.
  • To ensure for all bills like, SITC, ITC, AMC & Manpower for ZBILLt1 in SAP
  • To ensure the proper labor compliances of the bills of SITC,ITC,AMC & Manpower and follow up with vendors if not submitted by vendor on time .
  • To ensure proper measurement /counting of Qty. of the bills with certification of value.
  • To Ensure to MIGO of the bills of SITC, ITC, AMC & Manpower in SAP ensuring of amount is correct and checking of supply bills and submit to Billing for Miro process.
  • To ensure the bills to send to H.O for all kinds of Bills like Supply, SITC, ITC AMC & Manpower and sending with tracking sheet to ensuring the proper submission to the accounts.
  • To Ensuring in Zbillt2 Amount Certification & Forwarding is done properly while sending the bills to H.O
  • To Ensure to make the PO of DHBVN & Open access and then get the approvals from supervisor and functional head and doing the MIGO there after.
  • To prepare CAM cost for financial year and put up to management for approval.
  • To carry out CAM reconciliation with all clients and put up for refund/recovery of CAM cost.
  • To get the budget (P & L) prepared and approved from management.
  • To ensure all CAM costs are contained within approved budget.

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Job ID: 144051569

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