Executive - Finance and Accounts

Larsen & Toubro

Vadodara

On-site

INR 1,200,000 - 2,400,000

Full time

8 days ago
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Job summary

Larsen & Toubro in Vadodara seeks a seasoned treasury professional to manage accounts payable/receivable, banking operations, trade finance, and fund planning. You will ensure regulatory compliance and optimize cash flow across domestic and overseas transactions.

Responsibilities include preparing daily cash positions, bank reconciliations, handling vendor payments, foreign remittances, LC/BG management, and MIS reporting to support finance transformation initiatives.

Qualifications

  • Relevant treasury or finance experience preferred.
  • Experience with bank reconciliations and cash positions.
  • Exposure to trade finance and fund planning.

Responsibilities

  • Treasury & Banking Operations management.
  • Process vendor payments and customer receipt accounting.
  • Post entries for bank charges, receipts, payments.
  • Prepare and monitor bank reconciliations.
  • Handle fund transfers, including offline payments.
  • Prepare daily cash position reports and fund planning.
  • Manage statutory payments (GST, PF, tax).
  • Coordinate LC and BG issuance, amendments, renewals.
  • Accounts Receivable & Working Capital management tasks.
  • Vendor payment processing and reconciliations.

Skills

Treasury management
Cash flow forecasting
Banking operations
Vendor payments
Foreign exchange
MIS reporting

Tools

BG portals
LC portals
MS Excel
ERP systems

Job description

Job Purpose

To manage account payable, account receivable, treasury operations, banking activities, trade finance, fund planning, statutory compliance, accounting, customer collections, foreign transactions, MIS reporting, audit support, and finance transformation initiatives while ensuring effective cash flow management and regulatory compliance.

Key Responsibilities
  • Treasury & Banking Operations
  • Process vendor payments and customer receipt accounting.
  • Record expense vouchers and treasury-related transactions.
  • Post accounting entries for bank charges, customer receipts, vendor payments, and treasury transactions.
  • Prepare and monitor Bank Reconciliation Statements (BRS).
  • Handle payment requests and fund transfers, including offline payments.
  • Prepare daily cash position reports and fund planning schedules.
  • Manage statutory payments including GST, PF, Advance Tax, DGVCL and other regulatory dues.
  • Monitor project fund flow and liquidity requirements.
  • Foreign Payments & Treasury Management
  • Process foreign remittances relating to:
    • Supply payments
    • Dividend payments
    • Royalty payments
  • Handle foreign inward remittances and related accounting.
  • Manage EDPMS and IDPMS compliance requirements.
  • Coordinate rate booking and hedging transactions with banks.
  • Maintain treasury records related to overseas transactions.
  • Investment Management
  • Handle documentation and calculations related to:
    • Fixed Deposits (FDRs)
    • Mutual Fund Investments
  • Prepare investment schedules and reconciliations.
  • Support treasury decisions related to surplus fund deployment.
  • Prepare ECL annexures related to investments and banking exposures.
  • Trade Finance Operations (LC & BG)
  • Maintain BG and LC trackers.
  • Coordinate issuance, amendment, renewal and closure of:
    • Bank Guarantees (BG)
    • Letters of Credit (LC)
  • Review LC and BG documents prior to issuance.
  • Monitor BG/LC limits, utilization and renewal requirements.
  • Handle customer LC collection activities.
  • Process LC payments and maintain supporting documentation.
  • Coordinate vendor onboarding on BG portals.
  • Accounts Receivable & Working Capital Management
  • Monitor customer collections and outstanding balances.
  • Prepare retention money trackers and aging reports.
  • Track overdue receivables and initiate follow-up actions.
  • Prepare MIS on sales versus actual collections.
  • Perform customer reconciliations.
  • Monitor project-wise receivable positions.
  • Accounts Payable & Vendor Management
  • Manage vendor payment processing.
  • Prepare vendor reconciliations.
  • Clear vendor advances and LD recoveries.
  • Review and sanitize vendor-related general ledger balances.
  • Maintain AP-related supporting schedules and trackers.
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