Belleriva estate pvt ltd
Responsibilities:
– Entering online sales entries daily while ensuring the accuracy and completeness of data entered.
– Reconciling the physical inventory with the books of accounts.
– Reconciling the various online marketplace ledgers with the statements and settlement summaries on periodic basis.
– Generate the item profitability analysis report and report to the management on variances found.
– Preparing and submitting the daily and periodic reports to the Finance Manager.
– Helping the accounts team on other assigned functions like cash, bank, purchase etc.
– Maintaining the records, invoices, and other documents in a systematic manner.
Duties:
- Billing & Invoicing
- Payables Management
- Bank Reconciliation
- Petty Cash Management
- Debit Note/Credit Note
- Import/Export Documentation
- Customer Correspondence
- Banking Correspondence
- Foreign Remittance & Interest Calculation
- Accounts Finalization