Accounts Executive

ASC Infratech

Dadri

On-site

INR 400,000 - 560,000

Full time

10 days ago

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Job summary

ASC Infratech is seeking an experienced Accounts Executive to oversee day-to-day accounting, taxation, reconciliations, and financial reporting for construction projects in India. The role focuses on vendor/contractor/client accounts, bank reconciliations, and compliance with GST and TDS requirements.

You will coordinate with site teams for bills, expenses and settlements, and contribute to monthly closings including P&L and balance sheet schedules.

Qualifications

  • Day-to-day accounting entries, vouchers and ledgers.
  • GST compliance, ITC reconciliation, e-invoicing/e-way bills.
  • TDS computation, deductions, payments, returns and reconciliation.
  • Vendor, contractor, client and project accounts management and verification of bills.

Responsibilities

  • Manage day-to-day accounting entries, vouchers, ledgers and AP/AR.
  • Maintain and reconcile vendor, contractor, client and project accounts.
  • Prepare bank reconciliation statements and conduct ledger scrutiny.
  • Handle GST compliance, ITC reconciliation, e-invoicing/e-way bills.
  • Manage TDS deductions, payments, returns and reconciliation.
  • Coordinate with project/site teams for verification of bills and expenses.
  • Monitor project-wise expenses, advances and settlements.
  • Assist in monthly closing, trial balance, P&L and balance sheet schedules.

Skills

Accounts Payable
Accounts Receivable
Bank Reconciliation
GST compliance
TDS
Financial reporting

Education

CA Inter/M.Com

Job description

Role & responsibilities -

We are looking for an experienced Accounts Executive to manage day-to-day accounting, taxation, reconciliations, vendor/contractor accounts and financial reporting for ASC Infratech's construction projects.


Key Responsibilities


  • Manage day-to-day accounting entries, vouchers, ledgers, Accounts Payable & Receivable.

  • Maintain and reconcile vendor, contractor, client and project accounts.

  • Prepare Bank Reconciliation Statements and conduct regular ledger scrutiny.

  • Handle GST compliance, ITC reconciliation, e-invoicing/e-way bills and related documentation.

  • Manage TDS computation, deductions, payments, returns and reconciliation.

  • Coordinate with project/site teams for verification of bills, expenses, advances and settlements.

  • Monitor project-wise expenses, advances and outstanding payments.

  • Assist in monthly closing, trial balance, P&L and balance sheet schedules.


Preferred candidate profile

5 to 8 years of relevant experience, preferably with a construction, infrastructure, EPC or contracting company. Candidates with CA Inter/M.Com qualification will be preferred.

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