Company Name: Bridge Pharmaceuticals Ltd.
Roles & Responsibilities:
- Managing the departmental activities and assisting theManagement as per desire.
- To provide support on the day to day operation & activities of all financial information system.
- To monitor the overall recoding process,
- To maintain the liaison with all relevantDepartments on a range of issues.
- Product Costing and ensure recoding of all purchase and relevant expenses.
- Ensure proper inventory record and monthly reconciliation with physical stock.
- Ensure proper recording for LATR opening, settlement and bank interest.
- Prepare and analyze accounting records, financial statements and other financial reports to assess accuracy, completenessand conformance to reporting and procedural standards.
- Coordinate & Monitor accounts payable/receivable, general ledger, budgeting, revenue and expenditure variance analysis, bank reconciliations, LC related activities, cheque issue, etc.
- Check voucher entry into daily basis.
- Check Bank Payment, Receipt, Journal Voucher and daily &monthly Cash/Credit Sales & Collection.
- Calculate TDS & VDS from vendors bill properly, maintain with Register & ensure timely payment.
- Ensure reconciliation of clients ledger.
- Ensure compliance with Tax and VAT deducted at source and other tax requirements.
- Other duties & responsibilities as and when required.
Educational Qualification:
- Masters/BBA / MBA (Finance/ Accounting) from any reputed university.
- or, B.Com/M.Com in Accounting
Work Experience:
- 3 to 5 year(s)
Others Requirements:
- The applicants should have experience in the following area(s):Accounts, Finance, Internal Audit, Cash Management
- Must be skilled in MS word, MS XL, experienced in accounting software operating & others related to accounts.
- Ability to plan and undertake multi-tasks effectively.
- To have a positive attitude towards continued learning & development.
Others Benefit:
Mobile Bill Lunch Festival Bonus