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Fresher
Not Disclosed
  • Posted 12 hours ago
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Job Description

Job description:

Purpose: Consolidate all vessel/voyage expenses, match them with income, and prepare the initial vessel profitability for review.

Responsibilities

  • Book and verify all vessel and voyage expenses:
  • Port disbursements (PDA/FDA/NFDA).
  • Terminal and stevedoring charges.
  • Slot or charter hire, container lease and repositioning.
  • Bunkers, agency fees, and other voyage costs.
  • Check vendor bills against contracts, approvals, and the PDA–FDA position. Ensure GST/TDS treatment and coordinate payments.
  • Obtain income data (freight, local charges, detention/demurrage income) from the billing team and reconcile it.
  • Prepare voyage-wise and vessel-wise profitability (income vs. expense, cost per TEU, margin).
  • Track accruals, unbilled income, and unpaid expenses at period end.
  • Flag variances, leakages, and unrecovered costs to management.
  • Support forex, remittance, audit, and statutory compliance in coordination with the Head of Accounts.
  • Guide the billing executive and review her/his work.

More Info

Job Type:
Industry:
Employment Type:

Key Skills

container lease and repositioning

Bunkers agency fees

Terminal and stevedoring charges

vessel voyage expenses

Port disbursements

Slot or charter hire

forex remittance audit

GST TDS treatment