Assistant Manager Accounts Payable

Maxima Apparel

Gurugram District

On-site

INR 800,000 - 1,100,000

Full time

2 days ago
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Job summary

Maxima Apparel in Gurugram is seeking an Assistant Manager – Accounts Payable to manage the full AP cycle for domestic and international vendors. You will handle onboarding, invoicing, payments, bank reconciliation, and month-end close in a fast-paced environment.

The role requires 3–6 years in AP, preferably in apparel/retail or multi-entity setups, with a B.Com / M.Com / MBA (Finance) and CA Inter / CMA Inter preferred. On-site location in Gurugram.

Qualifications

  • 3–6 years in Accounts Payable in apparel/retail or multi-entity setups.
  • Qualification: B.Com / M.Com / MBA (Finance); CA Inter / CMA Inter preferred.
  • Own end-to-end AP cycle including onboarding, invoicing, payments, and month-end close.

Responsibilities

  • Prepare and review BRS for domestic and overseas bank accounts.
  • Match bank entries and clear ageing items within norms.
  • Maintain bank balance tracking and certify month-end reconciliations for auditors.
  • Book overseas vendor invoices with correct GL, cost centre, entity and currency mapping.
  • Apply exchange rates at booking and payment; account for FX gains/losses and remittances.
  • Ensure TDS/TCS deduction and GST compliance for payables; respond to notices.

Skills

Bank reconciliation
AP processes
GST TDS
Vendor onboarding

Education

B.Com / M.Com / MBA (Finance)

Tools

SAP
Oracle
Microsoft Dynamics
Tally Prime

Job description

Maxima Apparel is hiring an Assistant Manager – Accounts Payable for its Finance & Accounts team in Gurugram. You will own the end-to-end AP cycle for domestic and international vendors — from vendor onboarding and invoice booking through payment, bank reconciliation, statutory compliance and month-end closure. You are responsible for the accuracy of the AP ledger, timely vendor and payroll payouts, and the AP MIS pack that supports treasury and management decisions.

Position: Assistant Manager – Accounts Payable

Function: Finance & Accounts (Accounts Payable / Controllership)

Reports to: Manager – Accounts Payable / Finance Controller

Location: Gurugram (on-site)

Experience: 3–6 years in Accounts Payable, preferably in apparel / retail or a multi-entity international setup

Qualification: B.Com / M.Com / MBA (Finance); CA Inter / CMA Inter preferred

Employment type: Full-time

Key Responsibilities

  • Prepare and review daily / weekly / monthly BRS for all domestic and overseas bank accounts (current, EEFC, collection).
  • Match bank entries against books, clear reconciling items within ageing norms, and resolve long-outstanding items (stale cheques, un-credited receipts, bank charges, interest, FX differences).
  • Maintain bank balance and fund-position tracking for daily treasury and payment planning; certify month-end reconciliations for auditors.

International AP Booking, Bank Booking & Tax Compliance

  • Book overseas vendor invoices (raw material, trims, freight, agency, professional and IT services) with correct GL, cost centre, entity and currency mapping.
  • Apply correct exchange rates at booking, payment and period end; account for realised / unrealised FX gains and losses, remittances, bank charges, interest and forward contracts.
  • Ensure TDS / TCS deduction and deposit, withholding tax on foreign payments and review of tax residency certificates.
  • Support GST compliance on payables — RCM on import of services, GSTR-2B vs books reconciliation, ITC eligibility review and vendor follow-up.
  • Assist with TDS, GST and other statutory returns and respond to notices relating to payables.

Monthly Closure & Accrual Booking

  • Drive AP activities on the month-end close calendar within agreed timelines.
  • Book provisions and accruals (GRNI, services not billed, freight, job work, utilities, professional fees, rent) and maintain an accrual tracker with reversal review.
  • Prepare AP schedules — vendor ledger, vendor advances, GRNI, employee reimbursements, prepaid expenses — and reconcile the AP sub-ledger to GL.
  • Run vendor balance confirmations; clear debit balances and old credit balances; close audit observations relating to AP.
  • Prepare and circulate the AP MIS pack — creditors ageing, GRNI ageing, advance ageing, debit balance analysis and open PO / invoice pipeline.
  • Report spend analytics by vendor, category, cost centre and entity with variance commentary.
  • Track AP KPIs — DPO, invoice booking TAT, on-time payment %, unbooked invoices, hold / rejection analysis.
  • Prepare the outflow forecast and payment plan for cash-flow projections; automate recurring reports via advanced Excel (pivots, lookups, Power Query) and ERP report builders.

Weekly Vendor Payout & Payout Ageing

  • Run the weekly vendor payment cycle — payout proposal based on due dates, credit terms, ageing and approved priority; circulate for management approval.
  • Validate payment runs for three-way match, duplicates, TDS, advance adjustment and bank detail accuracy before uploading to the banking portal.
  • Release payments via NEFT / RTGS / cheque / wire and ensure timely accounting and vendor acknowledgement.
  • Manage the vendor helpdesk — payment queries, payment advice, TDS certificates and dispute resolution with commercial and procurement teams.
  • Manage vendor onboarding — registration form, bank details and cancelled cheque, and W-8 / W-9 / tax forms for overseas vendors; validate details before code creation.
  • Create, update and deactivate vendor master records in the ERP with correct payment terms, currency, tax codes, TDS sections and GL defaults.
  • Enforce maker-checker discipline, documented approvals and a full change-log audit trail, especially for bank-detail changes.
  • Run periodic vendor master hygiene reviews; track MSME vendors and statutory payment timelines.

Weekly / Monthly Payroll Payout

  • Coordinate with HR / payroll to validate payroll registers for weekly (contract / wage) and monthly (staff) cycles; verify headcount, net pay, bank details and control totals.
  • Execute payroll disbursement through the banking portal within committed pay dates; handle failed credits.
  • Book payroll journal entries and reconcile the payroll ledger to GL; ensure timely payment of PF, ESIC, PT and TDS on salary.
  • Process employee reimbursements, travel advances and full-and-final settlements; maintain strict confidentiality of payroll data.

Controls & Process Governance

  • Operate AP in line with the delegation-of-authority matrix and SOPs; maintain audit-ready documentation for all bookings, payments and master data changes.
  • Identify process gaps and drive automation and control improvements in invoice processing, approvals and payment release.
  • Strong working knowledge of AP accounting, bank reconciliation and month-end close.
  • Practical exposure to foreign remittance compliance.
  • Hands-on ERP experience — SAP / Oracle / Microsoft Dynamics / Tally Prime; AP automation tools an advantage.
  • Advanced MS Excel — pivot tables, lookups, Power Query, large-data reconciliation and MIS modelling.
  • Understanding of multi-entity, multi-currency accounting and intercompany transactions.
  • High accuracy, strong ownership of timelines, and ability to work to a fixed close and payout calendar under pressure.
  • Clear communication with vendors, bankers, auditors, procurement and HR; integrity and discretion with payment and payroll data.
  • Process-improvement mindset with a bias for automation and standardisation.

Key Performance Indicators

  • All bank accounts reconciled daily / weekly; no unexplained item beyond 30 days.
  • AP schedules and accruals completed within the close calendar.
  • Invoices booked within agreed TAT; weekly payout released per approved schedule.
  • 100% on-time, error-free payroll credit every cycle.
  • Nil delay / interest on TDS, GST and foreign remittance filings.
  • Zero unauthorised vendor master changes; MIS pack circulated on the agreed date each cycle.

Key Interfaces

Internal: Procurement & Sourcing, Commercial / Import, Stores & Warehouse, HR & Payroll, Treasury, Taxation, Internal Audit, Business Finance.

External: Domestic and overseas vendors, bankers, statutory and internal auditors, tax consultants.

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