AC

Deputy Manager - Accounts & Finance

Acme Services
Mumbai4-6 LPA Posted 18 Jul 2025
FULL TIME
Bank Reconciliations
Accounting
Mis Report
Auditing

Job Description

 Recording of accounting transactions in SAP in coordination with teams in UK, Hong Kong or elsewhere

- Processing vendor payments in various foreign currencies

- Posting customer receipts and sales invoice allocation

- Accounting of credit and debit notes to vendors and customers

- Checking and ensuring correctness of entries passed

- Following up and managing receivable and escalating if there are issues in

collection as appropriate

- Bank reconciliations and intercompany reconciliations

- Vendor, receivables ageing and advances follow up

- Fixed asset capitalization and depreciation run

- Preparing MIS pack (list of reports required for MIS)

- Preparing Audit pack (list of reports required for Audit)

- Strong understanding of business finance, analytics and problem-solving skills

- Performing financial analysis / forecasting

- Good quantitative and analytical skills

- Excellent organizational skills - track and organize supporting for all transactions

- Ability to manage numerous time-sensitive matters simultaneously in a fast-paced environment

Join WhatsApp Channel